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Jupiter Fund Management Plc (JUP.LN)

Jupiter Fund Management Plc (JUP.LN)
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Jupiter Fund Management PLC is a provider of mutual funds with operations mostly in the United Kingdom. The company also distributes its products through financial centers in Europe and Asia, either in house or through agency relationships. The group has increasingly focused on offering high-performance, outcome-oriented active strategies to drive organic growth. It measures performance by monitoring its percentage of assets under management above the median over three years. The Group operates principally in the United Kingdom with international operating subsidiaries in Ireland, Hong Kong, Singapore, the United States, Switzerland and Luxembourg, which has branches across Europe.

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Dec, 2024 Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020
Sales 402,500 405,600 443,500 617,800 500,500
Sales Growth -0.76% -8.55% -28.21% +23.44% +19.37%
Net Income 65,200 -12,900 47,900 149,600 105,300
Net Income Growth +605.43% -126.93% -67.98% +42.07% -14.25%
(Values in U.S. Thousands) Dec, 2024 Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020
Total Assets 1,256,500 1,207,600 1,242,000 1,340,700 1,345,800
Total Assets Growth +4.05% -2.77% -7.36% -0.38% +44.91%
Total Liabilities 422,500 418,100 398,100 439,900 459,700
Total Liabilities Growth +1.05% +5.02% -9.50% -4.31% +45.02%
(Values in U.S. Thousands) Dec, 2024 Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020
Operating Cash Flow 73,900 88,000 162,300 188,900 104,600
Operating Cash Flow Growth -16.02% -45.78% -14.08% +80.59% -30.17%
Net Cash Flow -6,400 -11,000 80,400 9,200 8,700
Change in Net Cash Flow +41.82% -113.68% +773.91% +5.75% +139.01%
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