JANUS HENDERSON GROUP PLCJHG

時価総額
$58.5億
PER
14.9倍
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Variable Interest Entity, Primary Beneficiary-36638111416
Cash and cash equivalents------1,152
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Variable Interest Entity, Primary Beneficiary-36638111416
Cash and cash equivalents------1,152
Variable Interest Entity, Primary Beneficiary------382
Variable Interest Entity, Primary Beneficiary------382
Variable Interest Entity, Primary Beneficiary------382
Investments------334
Consolidated excluding VIEs280292--451262-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Consolidated excluding VIEs280292--451262-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Investment securities--254268---
Fees and other receivables420309335374352253294
Fees and other receivables420309335374352253294
OEIC and unit trust receivables240144132115846695
OEIC and unit trust receivables240144132115846695
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Variable Interest Entity, Primary Beneficiary-5244248
Other current assets7669116111150120175
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Variable Interest Entity, Primary Beneficiary-5244248
Other current assets7669116111150120175
Total current assets2,2432,0192,5812,1942,4092,2152,456
Total current assets2,2432,0192,5812,1942,4092,2152,456
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Variable Interest Entity, Primary Beneficiary-36638111416
Cash and cash equivalents------1,152
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Variable Interest Entity, Primary Beneficiary-36638111416
Cash and cash equivalents------1,152
Variable Interest Entity, Primary Beneficiary------382
Variable Interest Entity, Primary Beneficiary------382
Variable Interest Entity, Primary Beneficiary------382
Investments------334
Consolidated excluding VIEs280292--451262-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Consolidated excluding VIEs280292--451262-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Investment securities--254268---
Fees and other receivables420309335374352253294
Fees and other receivables420309335374352253294
OEIC and unit trust receivables240144132115846695
OEIC and unit trust receivables240144132115846695
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Variable Interest Entity, Primary Beneficiary-5244248
Other current assets7669116111150120175
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Variable Interest Entity, Primary Beneficiary-5244248
Other current assets7669116111150120175
Total current assets2,2432,0192,5812,1942,4092,2152,456
Total current assets2,2432,0192,5812,1942,4092,2152,456
Property, equipment and software, net71708578635244
Property, equipment and software, net71708578635244
Intangible assets, net3,2053,1233,0892,6862,5432,4152,431
Intangible assets, net3,2053,1233,0892,6862,5432,4152,431
Goodwill1,5341,4781,5041,3841,3741,2531,290
Goodwill1,5341,4781,5041,3841,3741,2531,290
Retirement benefit asset, net------88
Retirement benefit asset, net19920721419116598-
Other non-current assets2216149158173206188
Other Assets, Noncurrent2216149158173206188
Total assets7,2736,9127,6226,6916,7286,2386,497
Total assets7,2736,9127,6226,6916,7286,2386,497
Property, equipment and software, net71708578635244
Property, equipment and software, net71708578635244
Intangible assets, net3,2053,1233,0892,6862,5432,4152,431
Intangible assets, net3,2053,1233,0892,6862,5432,4152,431
Goodwill1,5341,4781,5041,3841,3741,2531,290
Goodwill1,5341,4781,5041,3841,3741,2531,290
Retirement benefit asset, net------88
Retirement benefit asset, net19920721419116598-
Other non-current assets2216149158173206188
Other Assets, Noncurrent2216149158173206188
Total assets7,2736,9127,6226,6916,7286,2386,497
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Variable Interest Entity, Primary Beneficiary-7573343
Accounts payable and accrued liabilities293233246232272233231
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Variable Interest Entity, Primary Beneficiary-7573343
Accounts payable and accrued liabilities293233246232272233231
Current portion of accrued compensation, benefits and staff costs399345336371420301298
Current portion of accrued compensation, benefits and staff costs399345336371420301298
OEIC and unit trust payables------99
OEIC and unit trust payables2351431311229273-
Total current liabilities1,005728770728786611631
Total current liabilities1,005728770728786611631
Accrued compensation, benefits and staff costs23555954464745
Accrued compensation, benefits and staff costs23555954464745
Long-term debt322319316313310308305
Long-term debt322319316313310308305
Deferred tax liabilities, net--729627619575571
Deferred tax liabilities, net--729627619575571
Retirement benefit obligations, net5445532
Retirement benefit obligations, net5445532
Other non-current liabilities100791591441349987
Other non-current liabilities100791591441349987
Total liabilities2,2071,9152,0381,8711,9011,6411,641
REDEEMABLE NONCONTROLLING INTERESTS19013667886163234317
Total liabilities2,2071,9152,0381,8711,9011,6411,641
REDEEMABLE NONCONTROLLING INTERESTS19013667886163234317
Common stock, $1.50 par value; 480,000,000 shares authorized, and 163,338,035 and 165,657,905 shares issued and outstanding as of December 31, 2023, and December 31, 2022, respectively301295281271254249245
Common stock, $1.50 par value; 480,000,000 shares authorized, and 165,657,905 and 169,046,154 shares issued and outstanding as of December 31, 2022, and December 31, 2021, respectively301295281271254249245
Additional paid-in-capital3,8433,8253,8293,8153,7723,7073,722
Additional paid-in-capital3,8433,8253,8293,8153,7723,7073,722
Treasury shares, 41,444 and 312,469 shares held at December 31, 2023, and December 31, 2022, respectively-----81
Treasury shares, 41,444 and 312,469 shares held at December 31, 2023, and December 31, 2022, respectively-----81
Accumulated other comprehensive loss, net of tax-302-423-367-324-396-648-564
Accumulated other comprehensive loss, net of tax-302-423-367-324-396-648-564
Retained earnings1,1511,3151,2841,0621,0741,0611,136
Retained earnings1,1511,3151,2841,0621,0741,0611,136
Total shareholders’ equity4,8764,8614,9064,7344,6634,3634,538
Total shareholders’ equity4,8764,8614,9064,7344,6634,3634,538
Nonredeemable noncontrolling interests382220171530
Nonredeemable noncontrolling interests382220171530
Total equity4,8764,8614,9064,7344,6634,3634,538
Total equity4,8764,8614,9064,7344,6634,3634,538
Total liabilities, redeemable noncontrolling interests and equity7,2736,9127,6226,6916,7286,2386,497
Total liabilities, redeemable noncontrolling interests and equity7,2736,9127,6226,6916,7286,2386,497
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Variable Interest Entity, Primary Beneficiary-7573343
Accounts payable and accrued liabilities293233246232272233231
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Variable Interest Entity, Primary Beneficiary-7573343
Accounts payable and accrued liabilities293233246232272233231
Current portion of accrued compensation, benefits and staff costs399345336371420301298
Current portion of accrued compensation, benefits and staff costs399345336371420301298
OEIC and unit trust payables------99
OEIC and unit trust payables2351431311229273-
Total current liabilities1,005728770728786611631
Total current liabilities1,005728770728786611631
Accrued compensation, benefits and staff costs23555954464745
Accrued compensation, benefits and staff costs23555954464745
Long-term debt322319316313310308305
Long-term debt322319316313310308305
Deferred tax liabilities, net--729627619575571
Deferred tax liabilities, net--729627619575571
Retirement benefit obligations, net5445532
Retirement benefit obligations, net5445532
Other non-current liabilities100791591441349987
Other non-current liabilities100791591441349987
Total liabilities2,2071,9152,0381,8711,9011,6411,641
REDEEMABLE NONCONTROLLING INTERESTS19013667886163234317
Common stock, $1.50 par value; 480,000,000 shares authorized, and 163,338,035 and 165,657,905 shares issued and outstanding as of December 31, 2023, and December 31, 2022, respectively301295281271254249245
Common stock, $1.50 par value; 480,000,000 shares authorized, and 165,657,905 and 169,046,154 shares issued and outstanding as of December 31, 2022, and December 31, 2021, respectively301295281271254249245
Additional paid-in-capital3,8433,8253,8293,8153,7723,7073,722
Additional paid-in-capital3,8433,8253,8293,8153,7723,7073,722
Treasury shares, 41,444 and 312,469 shares held at December 31, 2023, and December 31, 2022, respectively-----81
Treasury shares, 41,444 and 312,469 shares held at December 31, 2023, and December 31, 2022, respectively-----81
Accumulated other comprehensive loss, net of tax-302-423-367-324-396-648-564
Accumulated other comprehensive loss, net of tax-302-423-367-324-396-648-564
Retained earnings1,1511,3151,2841,0621,0741,0611,136
Retained earnings1,1511,3151,2841,0621,0741,0611,136
Total shareholders’ equity4,8764,8614,9064,7344,6634,3634,538
Total shareholders’ equity4,8764,8614,9064,7344,6634,3634,538
Nonredeemable noncontrolling interests382220171530
Nonredeemable noncontrolling interests382220171530
Total equity4,8764,8614,9064,7344,6634,3634,538
Total equity4,8764,8614,9064,7344,6634,3634,538
Total liabilities, redeemable noncontrolling interests and equity7,2736,9127,6226,6916,7286,2386,497
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Variable Interest Entity, Primary Beneficiary-36638111416
Cash and cash equivalents------1,152
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Variable Interest Entity, Primary Beneficiary-36638111416
Cash and cash equivalents------1,152
Variable Interest Entity, Primary Beneficiary------382
Variable Interest Entity, Primary Beneficiary------382
Variable Interest Entity, Primary Beneficiary------382
Investments------334
Consolidated excluding VIEs280292--451262-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Consolidated excluding VIEs280292--451262-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Investment securities--254268---
Fees and other receivables420309335374352253294
Fees and other receivables420309335374352253294
OEIC and unit trust receivables240144132115846695
OEIC and unit trust receivables240144132115846695
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Variable Interest Entity, Primary Beneficiary-5244248
Other current assets7669116111150120175
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Variable Interest Entity, Primary Beneficiary-5244248
Other current assets7669116111150120175
Total current assets2,2432,0192,5812,1942,4092,2152,456
Total current assets2,2432,0192,5812,1942,4092,2152,456
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Variable Interest Entity, Primary Beneficiary-36638111416
Cash and cash equivalents------1,152
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Consolidated excluding VIEs7608807341,1001,1071,162-
Variable Interest Entity, Primary Beneficiary-36638111416
Variable Interest Entity, Primary Beneficiary-36638111416
Cash and cash equivalents------1,152
Variable Interest Entity, Primary Beneficiary------382
Variable Interest Entity, Primary Beneficiary------382
Variable Interest Entity, Primary Beneficiary------382
Investments------334
Consolidated excluding VIEs280292--451262-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Consolidated excluding VIEs280292--451262-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Variable Interest Entity, Primary Beneficiary-283925215251334-
Investment securities--254268---
Fees and other receivables420309335374352253294
Fees and other receivables420309335374352253294
OEIC and unit trust receivables240144132115846695
OEIC and unit trust receivables240144132115846695
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Variable Interest Entity, Primary Beneficiary-5244248
Other current assets7669116111150120175
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Consolidated excluding VIEs----150120-
Variable Interest Entity, Primary Beneficiary-5244248
Variable Interest Entity, Primary Beneficiary-5244248
Other current assets7669116111150120175
Total current assets2,2432,0192,5812,1942,4092,2152,456
Total current assets2,2432,0192,5812,1942,4092,2152,456
Property, equipment and software, net71708578635244
Property, equipment and software, net71708578635244
Intangible assets, net3,2053,1233,0892,6862,5432,4152,431
Intangible assets, net3,2053,1233,0892,6862,5432,4152,431
Goodwill1,5341,4781,5041,3841,3741,2531,290
Goodwill1,5341,4781,5041,3841,3741,2531,290
Retirement benefit asset, net------88
Retirement benefit asset, net19920721419116598-
Other non-current assets2216149158173206188
Other Assets, Noncurrent2216149158173206188
Total assets7,2736,9127,6226,6916,7286,2386,497
Total assets7,2736,9127,6226,6916,7286,2386,497
Property, equipment and software, net71708578635244
Property, equipment and software, net71708578635244
Intangible assets, net3,2053,1233,0892,6862,5432,4152,431
Intangible assets, net3,2053,1233,0892,6862,5432,4152,431
Goodwill1,5341,4781,5041,3841,3741,2531,290
Goodwill1,5341,4781,5041,3841,3741,2531,290
Retirement benefit asset, net------88
Retirement benefit asset, net19920721419116598-
Other non-current assets2216149158173206188
Other Assets, Noncurrent2216149158173206188
Total assets7,2736,9127,6226,6916,7286,2386,497
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Variable Interest Entity, Primary Beneficiary-7573343
Accounts payable and accrued liabilities293233246232272233231
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Variable Interest Entity, Primary Beneficiary-7573343
Accounts payable and accrued liabilities293233246232272233231
Current portion of accrued compensation, benefits and staff costs399345336371420301298
Current portion of accrued compensation, benefits and staff costs399345336371420301298
OEIC and unit trust payables------99
OEIC and unit trust payables2351431311229273-
Total current liabilities1,005728770728786611631
Total current liabilities1,005728770728786611631
Accrued compensation, benefits and staff costs23555954464745
Accrued compensation, benefits and staff costs23555954464745
Long-term debt322319316313310308305
Long-term debt322319316313310308305
Deferred tax liabilities, net--729627619575571
Deferred tax liabilities, net--729627619575571
Retirement benefit obligations, net5445532
Retirement benefit obligations, net5445532
Other non-current liabilities100791591441349987
Other non-current liabilities100791591441349987
Total liabilities2,2071,9152,0381,8711,9011,6411,641
REDEEMABLE NONCONTROLLING INTERESTS19013667886163234317
Total liabilities2,2071,9152,0381,8711,9011,6411,641
REDEEMABLE NONCONTROLLING INTERESTS19013667886163234317
Common stock, $1.50 par value; 480,000,000 shares authorized, and 163,338,035 and 165,657,905 shares issued and outstanding as of December 31, 2023, and December 31, 2022, respectively301295281271254249245
Common stock, $1.50 par value; 480,000,000 shares authorized, and 165,657,905 and 169,046,154 shares issued and outstanding as of December 31, 2022, and December 31, 2021, respectively301295281271254249245
Additional paid-in-capital3,8433,8253,8293,8153,7723,7073,722
Additional paid-in-capital3,8433,8253,8293,8153,7723,7073,722
Treasury shares, 41,444 and 312,469 shares held at December 31, 2023, and December 31, 2022, respectively-----81
Treasury shares, 41,444 and 312,469 shares held at December 31, 2023, and December 31, 2022, respectively-----81
Accumulated other comprehensive loss, net of tax-302-423-367-324-396-648-564
Accumulated other comprehensive loss, net of tax-302-423-367-324-396-648-564
Retained earnings1,1511,3151,2841,0621,0741,0611,136
Retained earnings1,1511,3151,2841,0621,0741,0611,136
Total shareholders’ equity4,8764,8614,9064,7344,6634,3634,538
Total shareholders’ equity4,8764,8614,9064,7344,6634,3634,538
Nonredeemable noncontrolling interests382220171530
Nonredeemable noncontrolling interests382220171530
Total equity4,8764,8614,9064,7344,6634,3634,538
Total equity4,8764,8614,9064,7344,6634,3634,538
Total liabilities, redeemable noncontrolling interests and equity7,2736,9127,6226,6916,7286,2386,497
Total liabilities, redeemable noncontrolling interests and equity7,2736,9127,6226,6916,7286,2386,497
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Variable Interest Entity, Primary Beneficiary-7573343
Accounts payable and accrued liabilities293233246232272233231
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Consolidated excluding VIEs293233246232272233-
Variable Interest Entity, Primary Beneficiary-7573343
Variable Interest Entity, Primary Beneficiary-7573343
Accounts payable and accrued liabilities293233246232272233231
Current portion of accrued compensation, benefits and staff costs399345336371420301298
Current portion of accrued compensation, benefits and staff costs399345336371420301298
OEIC and unit trust payables------99
OEIC and unit trust payables2351431311229273-
Total current liabilities1,005728770728786611631
Total current liabilities1,005728770728786611631
Accrued compensation, benefits and staff costs23555954464745
Accrued compensation, benefits and staff costs23555954464745
Long-term debt322319316313310308305
Long-term debt322319316313310308305
Deferred tax liabilities, net--729627619575571
Deferred tax liabilities, net--729627619575571
Retirement benefit obligations, net5445532
Retirement benefit obligations, net5445532
Other non-current liabilities100791591441349987
Other non-current liabilities100791591441349987
Total liabilities2,2071,9152,0381,8711,9011,6411,641
REDEEMABLE NONCONTROLLING INTERESTS19013667886163234317
Common stock, $1.50 par value; 480,000,000 shares authorized, and 163,338,035 and 165,657,905 shares issued and outstanding as of December 31, 2023, and December 31, 2022, respectively301295281271254249245
Common stock, $1.50 par value; 480,000,000 shares authorized, and 165,657,905 and 169,046,154 shares issued and outstanding as of December 31, 2022, and December 31, 2021, respectively301295281271254249245
Additional paid-in-capital3,8433,8253,8293,8153,7723,7073,722
Additional paid-in-capital3,8433,8253,8293,8153,7723,7073,722
Treasury shares, 41,444 and 312,469 shares held at December 31, 2023, and December 31, 2022, respectively-----81
Treasury shares, 41,444 and 312,469 shares held at December 31, 2023, and December 31, 2022, respectively-----81
Accumulated other comprehensive loss, net of tax-302-423-367-324-396-648-564
Accumulated other comprehensive loss, net of tax-302-423-367-324-396-648-564
Retained earnings1,1511,3151,2841,0621,0741,0611,136
Retained earnings1,1511,3151,2841,0621,0741,0611,136
Total shareholders’ equity4,8764,8614,9064,7344,6634,3634,538
Total shareholders’ equity4,8764,8614,9064,7344,6634,3634,538
Nonredeemable noncontrolling interests382220171530
Nonredeemable noncontrolling interests382220171530
Total equity4,8764,8614,9064,7344,6634,3634,538
Total equity4,8764,8614,9064,7344,6634,3634,538
Total liabilities, redeemable noncontrolling interests and equity7,2736,9127,6226,6916,7286,2386,497