Janus Henderson Group Ltd. (JHG)

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CIK 0001274173 · NYSE · Investment Advice

  • Sector Finance & Real Estate
  • Incorporated Y9
  • Fiscal year ends Jun 30

In fiscal 2025, Janus Henderson Group Ltd. reported revenue of $3.10B, up 25.2% from the prior year. The company was profitable, with a net margin of 29.3%. It held $8.29B in total assets against $2.17B in total liabilities.

Key ratios (FY2025)

31.5%
Operating margin
29.3%
Net margin
17.2%
Return on equity
+25.2%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$3.10B$2.47B$2.10B$2.20B$2.77B$2.30B$2.19B$2.31B$1.82B$1.02B
Operating Income$976.80M$645.70M$483.70M$489.80M$820.90M$128.30M$540.90M$649.80M$442.30M$232.10M
Net Income$907.60M$445.60M$426.70M$274.50M$612.40M$151.30M$445.70M$499.60M$658.40M$177.30M
EPS (Diluted)$5.23$2.56$2.37$2.23$3.57$0.70$2.21$2.61$3.93$1.66
Total Assets$8.29B$6.96B$6.50B$6.24B$6.70B$6.69B$7.62B$6.91B$7.27B$2.43B
Total Liabilities$2.17B$1.88B$1.64B$1.64B$1.90B$1.87B$2.04B$1.92B$2.21B$583.10M
Shareholders' Equity$5.28B$4.72B$4.54B$4.36B$4.64B$4.71B$4.91B$4.86B$4.88B$1.69B
Cash & Equivalents$1.25B$1.22B$1.15B$1.16B
Operating Cash Flow$719.50M$694.60M$441.60M$473.30M$895.40M$645.70M$463.20M$670.80M$444.10M$235.10M
Capital Expenditures$8.60M$10.10M$10.80M$17.60M$10.40M$17.80M$37.80M$29.10M$17.70M$14.20M
Shares Outstanding152.70M155.80M160.50M162.00M168.50M179.90M188.60M195.90M162.30M111.10M
Dividends Per Share$1.59$1.56$1.56$1.55$1.50$1.44$1.44$1.40$0.64