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  • 13.02.2026
Jupiter Fund (JUP.L, London)
Závěr k 13.2.2026 Změna (%) Změna (GBP) Objem obchodů (GBP)
1,88 0,75 0,01 1 195 812
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  • Poslední aktualizace:
Popis společnosti
Obecné informace
Název společnostiJupiter Fund Management PLC
TickerJUP
Kmenové akcie:Ordinary Shares
RICJUP.L
ISINGB00B53P2009
Poslední známé roční výsledky31.12.2024
Poslední známé čtvrtletní výsledky30.06.2025
Počet zaměstnanců k 31.12.2024 512
Akcie v oběhu k 29.08.2025 528 630 125
MěnaGBP
Kontaktní informace
UliceThe Zig Zag Building, 70 Victoria Street
MěstoLONDON
PSČSW1E 6SQ
ZeměUnited Kingdom
Kontatní osoba 
Funkce kontaktní osoby 
Telefon442 038 171 000

Business Summary: Jupiter Fund Management plc is an asset management company. The Company’s principal activity is to act as a holding company for a group of investment management companies. The Company offers a number of investment strategies within four core asset classes: equities, fixed income, multi-asset and alternatives. It offers a range of actively managed investment strategies through two principal client channels: retail, wholesale & investment trusts and institutional. It provides investment expertise across a range of capabilities, including United Kingdom equities, European equities, Global equities, Systematic equities, Asian and Emerging Market equities, Multi-manager and Fixed Income. Its product types can be broadly categorized into pooled funds and segregated mandates. It operates principally in the United Kingdom with international operating subsidiaries in Hong Kong, Ireland, Singapore, Switzerland, and Luxembourg. Its Luxembourg entity has branches across continental Europe.
Financial Summary: BRIEF: For the six months ended 30 June 2025, Jupiter Fund Management PLC revenues decreased 11% to L171M. Net income decreased 24% to L21.5M. Revenues reflect Management Fees decrease of 12% to L165.7M. Net income also reflects Investment Management business segment income decrease of 31% to L26.1M. Dividend per share decreased from L0.03 to L0.02. Basic Earnings per Share excluding Extraordinary Items decreased from L0.05 to L0.04.
Odvětvová klasifikace
TRBC2009Investment Management / Fund Operators
TRBC2012Investment Management
RBSS2004Investment Services
MGINDUSTRYInvestment Services
MGSECTORFinancial
NAICSPortfolio Management and Investment Advice
NAICSPortfolio Management
NAICS2007Portfolio Management
NAICS2007Investment Advice
NAICS2007Offices of Other Holding Companies
NAICS1997Portfolio Management
NAICS1997Investment Advice
NAICS1997Offices of Other Holding Companies
SICInvestment Advice



  • Poslední aktualizace:
Management společnosti
FunkceJménoVěkVe funkci odVe firmě od
Chief Executive Officer, Executive DirectorMatthew Beesley-01.10.2022
Chief Financial Officer and Operating Officer, Executive DirectorWayne Mepham-03.09.2019
Company SecretaryHelen Archbold-01.01.2024