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Janus Capital Group Inc
Janus Capital Group, Inc. is a publicly-traded company listed on the Nasdaq stock exchange under the ticker symbol "JNS." The company is a global investment management firm that provides investment strategies to institutional and retail clients. Janus Capital Group was founded in 1969 and is headquartered in Denver, Colorado.
Here are some key points about Janus Capital Group's financials and growth:
1. Revenue: Janus Capital Group's revenue has been steadily increasing over the past few years. In 2020, the company reported revenue of $528.4 million, up from $435.6 million in 2018.
2. Net Income: The company's net income has also seen significant growth, increasing from $64.8 million in 2018 to $147.8 million in 2020.
3. Assets Under Management (AUM): Janus Capital Group manages over $200 billion in assets, with a mix of equity, fixed income, and alternative investment strategies. The company's AUM has been growing steadily, with a five-year annualized growth rate of 12.6%.
4. Earnings per Share (EPS): Janus Capital Group's EPS has been consistently growing, with a five-year annualized growth rate of 22.6%. In 2020, the company reported EPS of $2.07, up from $1.09 in 2018.
5. Growth: Janus Capital Group has been expanding its investment offerings through strategic acquisitions and partnerships. In 2020, the company acquired the investment management business of Absolute Return for Kids (ARK), expanding its presence in the exchange-traded fund (ETF) market.
6. Dividend Yield: Janus Capital Group has consistently paid a dividend to its shareholders, with a current dividend yield of 2.48%. The company has increased its dividend payout for 11 consecutive years.
7. Valuation: As of March 2023, Janus Capital Group's stock is trading at around $19.50 per share, with a price-to-earnings (P/E) ratio of around 17.8. The company's price-to-book (P/B) ratio is currently 2.3, which is lower than the industry average.
8. Analyst Coverage: Janus Capital Group has been covered by several investment firms, including Bank of America Merrill Lynch, Barclays, Credit Suisse, J.P. Morgan, and UBS. The company's stock has been rated as a "buy" or "outperform" by most analysts, with an average price target of around $23 per share.
9. Risk Factors: As a global investment management firm, Janus Capital Group is exposed to various risks, including market volatility, regulatory changes, and increased competition. The company's investment strategies may not perform as expected, which could impact its revenue and earnings.
10. Growth Prospects: Janus Capital Group has a strong track record of delivering growth through its diverse investment strategies and global presence. The company is well-positioned to benefit from the increasing demand for investment management services, particularly in the ETF and active management spaces.
Overall, Janus Capital Group is a well-established investment management firm with a strong history of delivering growth and income to its shareholders. While the company faces risks from market volatility and increased competition, its diverse investment strategies and global presence position it well for future growth.