AU Stock MarketDetailed Quotes

JHG Janus Henderson Group PLC

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  • 39.490
  • 0.0000.00%
20min DelayMarket Closed Apr 12 10:00 AET
6.54BMarket Cap12.08P/E (Static)

Janus Henderson Group PLC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
13.23%1.75B
-17.82%1.8B
15.93%1.71B
-2.67%1.77B
-2.67%1.77B
-5.56%1.54B
49.61%2.19B
15.45%1.48B
14.46%1.82B
14.46%1.82B
-Cash and cash equivalents
10.10%1.14B
17.25%1.02B
6.01%862.3M
5.17%1.18B
5.17%1.18B
9.64%1.04B
-10.60%873.7M
-2.77%813.4M
0.95%1.12B
0.95%1.12B
-Accounts receivable
5.58%232.8M
-15.88%246.9M
-18.38%263.3M
-28.07%252.9M
-28.07%252.9M
-38.66%220.5M
-23.96%293.5M
-11.98%322.6M
-5.89%351.6M
-5.89%351.6M
-Notes receivable
-23.68%2.9M
-28.57%3M
-32.61%3.1M
-37.50%3M
-37.50%3M
-19.15%3.8M
-12.50%4.2M
-4.17%4.6M
2.13%4.8M
2.13%4.8M
-Other receivables
-39.91%144.1M
-28.45%112.4M
-23.04%202.8M
-21.04%72.8M
-21.04%72.8M
26.48%239.8M
-32.23%157.1M
8.21%263.5M
-24.12%92.2M
-24.12%92.2M
Total current assets
8.18%2.29B
-17.78%2.29B
3.95%2.29B
-8.07%2.21B
-8.07%2.21B
-8.02%2.12B
27.51%2.79B
10.36%2.21B
9.82%2.41B
9.82%2.41B
Non current assets
-Accumulated depreciation
----
----
----
4.14%-90.3M
4.14%-90.3M
----
----
----
-31.20%-94.2M
-31.20%-94.2M
-Long term equity investment
-0.94%305.3M
-0.94%306M
-0.94%306.8M
-9.73%374.6M
-9.73%374.6M
-0.93%308.2M
-0.96%308.9M
-0.93%309.7M
-3.76%415M
-3.76%415M
-Including:Held to maturity investments
----
----
----
-60.99%22M
-60.99%22M
----
----
----
132.10%56.4M
132.10%56.4M
-Goodwill
1.22%3.68B
0.06%3.72B
-2.99%3.69B
-5.57%3.67B
-5.57%3.67B
-9.02%3.63B
-7.74%3.72B
-6.53%3.81B
-4.57%3.88B
-4.57%3.88B
Defined pension benefit
-25.85%100.7M
-29.36%104.4M
-37.07%101M
-40.70%97.9M
-40.70%97.9M
-28.45%135.8M
-23.78%147.8M
-16.93%160.5M
-13.70%165.1M
-13.70%165.1M
Regulatory assets
-18.51%370.3M
-20.73%351.9M
-20.71%459M
-21.75%349.7M
-21.75%349.7M
-15.88%454.4M
-27.69%443.9M
-4.08%578.9M
-8.87%446.9M
-8.87%446.9M
Total assets
----
----
----
185.32%31.1M
185.32%31.1M
----
----
----
419.05%10.9M
419.05%10.9M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
-15.81%24.5M
-15.81%24.5M
----
----
----
6.59%29.1M
6.59%29.1M
-Current capital lease obligation
----
----
----
-15.81%24.5M
-15.81%24.5M
----
----
----
6.59%29.1M
6.59%29.1M
-accounts payable
-0.18%219.2M
-8.34%217.5M
-13.09%222.4M
65.38%4.3M
65.38%4.3M
-5.47%219.6M
4.81%237.3M
-4.23%255.9M
-18.75%2.6M
-18.75%2.6M
-Total tax payable
-3.49%999.5M
-4.36%1.01B
-6.54%1B
-7.51%1.03B
-7.51%1.03B
-7.78%1.04B
-6.61%1.06B
-2.84%1.07B
-2.53%1.11B
-2.53%1.11B
-Other payable
-1.50%189.9M
15.37%225.2M
12.11%220.4M
13.79%205.5M
13.79%205.5M
21.49%192.8M
25.13%195.2M
25.30%196.6M
14.52%180.6M
14.52%180.6M
Current accrued expenses
----
----
----
-9.00%151.6M
-9.00%151.6M
----
----
----
26.98%166.6M
26.98%166.6M
Current liabilities
-13.63%595.6M
-11.82%506.7M
-16.96%576.4M
-22.29%610.5M
-22.29%610.5M
-10.78%689.6M
-21.65%574.6M
-5.46%694.1M
7.94%785.6M
7.94%785.6M
Non current liabilities
-Long term debt
----
----
----
-35.85%67.1M
-35.85%67.1M
----
----
----
-11.28%104.6M
-11.28%104.6M
Non current accrued expenses
-7.55%45.3M
-8.17%48.3M
-8.79%49.8M
-18.17%51.8M
-18.17%51.8M
-23.08%49M
-20.78%52.6M
-26.22%54.6M
-18.74%63.3M
-18.74%63.3M
Long term provisions
-0.94%305.3M
-0.94%306M
-0.94%306.8M
-0.93%307.5M
-0.93%307.5M
-0.93%308.2M
-0.96%308.9M
-0.93%309.7M
-0.93%310.4M
-0.93%310.4M
Employee benefits
-4.43%38.8M
-2.66%32.9M
-2.63%25.9M
-1.19%49.9M
-1.19%49.9M
-2.40%40.6M
-8.89%33.8M
-1.48%26.6M
-13.53%50.5M
-13.53%50.5M
Preferred securities outside stock equity
0.91%232.3M
-1.89%176.8M
-13.45%151.2M
-28.38%300.8M
-28.38%300.8M
-34.42%230.2M
-34.52%180.2M
-21.83%174.7M
13.21%420M
13.21%420M
Total non current liabilities
-7.54%1.6B
-6.99%1.52B
-10.63%1.58B
-13.62%1.64B
-13.62%1.64B
-9.00%1.73B
-12.53%1.63B
-3.89%1.77B
1.54%1.9B
1.54%1.9B
Shareholders'equity
Share capital
0.00%248.5M
0.00%248.5M
-1.27%248.5M
-2.01%248.5M
-2.01%248.5M
-2.89%248.5M
-3.87%248.5M
-2.63%251.7M
-6.28%253.6M
-6.28%253.6M
-common stock
0.00%248.5M
0.00%248.5M
-1.27%248.5M
-2.01%248.5M
-2.01%248.5M
-2.89%248.5M
-3.87%248.5M
-2.63%251.7M
-6.28%253.6M
-6.28%253.6M
Additional paid-in capital
0.53%3.7B
0.37%3.69B
-0.58%3.66B
-1.73%3.71B
-1.73%3.71B
-1.88%3.68B
-1.87%3.67B
-2.23%3.68B
-1.13%3.77B
-1.13%3.77B
Gains losses not affecting retained earnings
15.28%-633.3M
5.19%-564.1M
-36.80%-606.3M
-67.36%-647.7M
-67.36%-647.7M
-98.33%-747.5M
-86.99%-595M
-37.90%-443.2M
-19.44%-387M
-19.44%-387M
Other equity interest
45.45%169.3M
-8.84%140.3M
-18.89%121.5M
-39.45%28.4M
-39.45%28.4M
-6.13%116.4M
41.45%153.9M
29.25%149.8M
-11.68%46.9M
-11.68%46.9M
Total equity
2.87%6.3B
-7.41%6.39B
-1.05%6.36B
-6.93%6.24B
-6.93%6.24B
-8.64%6.12B
4.06%6.9B
-1.10%6.42B
0.17%6.7B
0.17%6.7B
(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 13.23%1.75B-17.82%1.8B15.93%1.71B-2.67%1.77B-2.67%1.77B-5.56%1.54B49.61%2.19B15.45%1.48B14.46%1.82B14.46%1.82B
-Cash and cash equivalents 10.10%1.14B17.25%1.02B6.01%862.3M5.17%1.18B5.17%1.18B9.64%1.04B-10.60%873.7M-2.77%813.4M0.95%1.12B0.95%1.12B
-Accounts receivable 5.58%232.8M-15.88%246.9M-18.38%263.3M-28.07%252.9M-28.07%252.9M-38.66%220.5M-23.96%293.5M-11.98%322.6M-5.89%351.6M-5.89%351.6M
-Notes receivable -23.68%2.9M-28.57%3M-32.61%3.1M-37.50%3M-37.50%3M-19.15%3.8M-12.50%4.2M-4.17%4.6M2.13%4.8M2.13%4.8M
-Other receivables -39.91%144.1M-28.45%112.4M-23.04%202.8M-21.04%72.8M-21.04%72.8M26.48%239.8M-32.23%157.1M8.21%263.5M-24.12%92.2M-24.12%92.2M
Total current assets 8.18%2.29B-17.78%2.29B3.95%2.29B-8.07%2.21B-8.07%2.21B-8.02%2.12B27.51%2.79B10.36%2.21B9.82%2.41B9.82%2.41B
Non current assets
-Accumulated depreciation ------------4.14%-90.3M4.14%-90.3M-------------31.20%-94.2M-31.20%-94.2M
-Long term equity investment -0.94%305.3M-0.94%306M-0.94%306.8M-9.73%374.6M-9.73%374.6M-0.93%308.2M-0.96%308.9M-0.93%309.7M-3.76%415M-3.76%415M
-Including:Held to maturity investments -------------60.99%22M-60.99%22M------------132.10%56.4M132.10%56.4M
-Goodwill 1.22%3.68B0.06%3.72B-2.99%3.69B-5.57%3.67B-5.57%3.67B-9.02%3.63B-7.74%3.72B-6.53%3.81B-4.57%3.88B-4.57%3.88B
Defined pension benefit -25.85%100.7M-29.36%104.4M-37.07%101M-40.70%97.9M-40.70%97.9M-28.45%135.8M-23.78%147.8M-16.93%160.5M-13.70%165.1M-13.70%165.1M
Regulatory assets -18.51%370.3M-20.73%351.9M-20.71%459M-21.75%349.7M-21.75%349.7M-15.88%454.4M-27.69%443.9M-4.08%578.9M-8.87%446.9M-8.87%446.9M
Total assets ------------185.32%31.1M185.32%31.1M------------419.05%10.9M419.05%10.9M
Liabilities
Current liabilities
Current debt and capital lease obligation -------------15.81%24.5M-15.81%24.5M------------6.59%29.1M6.59%29.1M
-Current capital lease obligation -------------15.81%24.5M-15.81%24.5M------------6.59%29.1M6.59%29.1M
-accounts payable -0.18%219.2M-8.34%217.5M-13.09%222.4M65.38%4.3M65.38%4.3M-5.47%219.6M4.81%237.3M-4.23%255.9M-18.75%2.6M-18.75%2.6M
-Total tax payable -3.49%999.5M-4.36%1.01B-6.54%1B-7.51%1.03B-7.51%1.03B-7.78%1.04B-6.61%1.06B-2.84%1.07B-2.53%1.11B-2.53%1.11B
-Other payable -1.50%189.9M15.37%225.2M12.11%220.4M13.79%205.5M13.79%205.5M21.49%192.8M25.13%195.2M25.30%196.6M14.52%180.6M14.52%180.6M
Current accrued expenses -------------9.00%151.6M-9.00%151.6M------------26.98%166.6M26.98%166.6M
Current liabilities -13.63%595.6M-11.82%506.7M-16.96%576.4M-22.29%610.5M-22.29%610.5M-10.78%689.6M-21.65%574.6M-5.46%694.1M7.94%785.6M7.94%785.6M
Non current liabilities
-Long term debt -------------35.85%67.1M-35.85%67.1M-------------11.28%104.6M-11.28%104.6M
Non current accrued expenses -7.55%45.3M-8.17%48.3M-8.79%49.8M-18.17%51.8M-18.17%51.8M-23.08%49M-20.78%52.6M-26.22%54.6M-18.74%63.3M-18.74%63.3M
Long term provisions -0.94%305.3M-0.94%306M-0.94%306.8M-0.93%307.5M-0.93%307.5M-0.93%308.2M-0.96%308.9M-0.93%309.7M-0.93%310.4M-0.93%310.4M
Employee benefits -4.43%38.8M-2.66%32.9M-2.63%25.9M-1.19%49.9M-1.19%49.9M-2.40%40.6M-8.89%33.8M-1.48%26.6M-13.53%50.5M-13.53%50.5M
Preferred securities outside stock equity 0.91%232.3M-1.89%176.8M-13.45%151.2M-28.38%300.8M-28.38%300.8M-34.42%230.2M-34.52%180.2M-21.83%174.7M13.21%420M13.21%420M
Total non current liabilities -7.54%1.6B-6.99%1.52B-10.63%1.58B-13.62%1.64B-13.62%1.64B-9.00%1.73B-12.53%1.63B-3.89%1.77B1.54%1.9B1.54%1.9B
Shareholders'equity
Share capital 0.00%248.5M0.00%248.5M-1.27%248.5M-2.01%248.5M-2.01%248.5M-2.89%248.5M-3.87%248.5M-2.63%251.7M-6.28%253.6M-6.28%253.6M
-common stock 0.00%248.5M0.00%248.5M-1.27%248.5M-2.01%248.5M-2.01%248.5M-2.89%248.5M-3.87%248.5M-2.63%251.7M-6.28%253.6M-6.28%253.6M
Additional paid-in capital 0.53%3.7B0.37%3.69B-0.58%3.66B-1.73%3.71B-1.73%3.71B-1.88%3.68B-1.87%3.67B-2.23%3.68B-1.13%3.77B-1.13%3.77B
Gains losses not affecting retained earnings 15.28%-633.3M5.19%-564.1M-36.80%-606.3M-67.36%-647.7M-67.36%-647.7M-98.33%-747.5M-86.99%-595M-37.90%-443.2M-19.44%-387M-19.44%-387M
Other equity interest 45.45%169.3M-8.84%140.3M-18.89%121.5M-39.45%28.4M-39.45%28.4M-6.13%116.4M41.45%153.9M29.25%149.8M-11.68%46.9M-11.68%46.9M
Total equity 2.87%6.3B-7.41%6.39B-1.05%6.36B-6.93%6.24B-6.93%6.24B-8.64%6.12B4.06%6.9B-1.10%6.42B0.17%6.7B0.17%6.7B

Analysis

Analyst Rating

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Price Target

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