首页JUP • LON
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木星资产管理公司
昨日收盘价
GBX 186.00
当日价格范围
GBX 183.60 - GBX 187.40
年度波幅
GBX 64.70 - GBX 214.50
市值
9.76亿 GBP
平均交易量
201.82万
市盈率
10.33
股息率
2.38%
主要交易所
LON
市场资讯
财务信息
损益表
收入
净收入
| (GBP) | 2025年12月info | 年同比变化 |
|---|---|---|
收入 | 1.39亿 | 45.54% |
经营支出 | 8260.00万 | 30.08% |
净收入 | 3945.00万 | 113.24% |
净利润率 | 28.47 | 46.53% |
每股收益 | — | — |
息税折旧摊销前利润 | 5925.00万 | 77.93% |
有效税率 | 24.43% | — |
资产负债表
总资产
负债总额
| (GBP) | 2025年12月info | 年同比变化 |
|---|---|---|
现金及短期投资 | 4.54亿 | -9.93% |
总资产 | 12.43亿 | -1.11% |
负债总额 | 3.36亿 | -20.36% |
权益总额 | 9.06亿 | — |
发行在外的股份 | 5.02亿 | — |
市净率 | 1.03 | — |
资产回报率 | 11.26% | — |
资本回报率 | 15.44% | — |
现金流
现金净变动
| (GBP) | 2025年12月info | 年同比变化 |
|---|---|---|
净收入 | 3945.00万 | 113.24% |
来自运营的现金 | 1940.00万 | 7.78% |
投资现金 | 4680.00万 | 1,456.52% |
融资现金 | -705.00万 | -151.46% |
现金净变动 | 6160.00万 | 127.31% |
自由现金流 | 4414.38万 | 85.43% |
简介
Jupiter Fund Management is a UK fund management group, managing equity and bond investments for private and institutional investors. The company manages assets across a wide range of international and UK based mutual funds, investment companies and institutional mandates, as well as providing wealth management services. The Company offers a variety of equity portfolios specialising in markets such as the UK, Europe, Asia and other emerging European nations, as well as multi-manager funds and specialist thematic investments such as absolute return funds, socially responsible investment funds and global financial funds. It also has a growing fixed interest franchise, with a focus on investing in high grade corporate bonds, strategic bonds and convertibles. The company is listed on the London Stock Exchange and is a constituent of the FTSE 250 Index. Wikipedia
CEO
成立时间
1985
员工数量
442