Jupiter Fund Management Plc engages in high conviction, active asset manager. The Company’s principal activity is to act as a holding company for a group of investment management companies. The firm offers a number of investment strategies within four core asset classes: equities, fixed income, multi-asset and alternatives. The company offers a range of actively managed investment strategies through two principal client channels: retail, wholesale & investment trusts and institutional. The company 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. The company 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.
Jupiter Fund Management Plc hisse başına yıllık % {var1} temettüye sahiptir ve % {var2} oranında bir getiri sunmaktadır. Temettü altı ayda bir ödenmektedir ve son temettü hariç tarihi Aug 7, 2025 tarihindedir.
Dividend Yield
Yıllık Dividende
Özsermaye Tarihi
0.00%
$0.06
Aug 7, 2025
Ödeme Sıklığı
Ödeme Oranı
Altı ayda bir
0.00%
Dividend History
Özsermaye Tarihi
Nakit Tutarı
Kayıt Tarihi
Ödeme Tarihi
Aug 7, 2025
$0.021
Aug 8, 2025
Sep 5, 2025
Apr 17, 2025
$0.022
Apr 22, 2025
May 20, 2025
Aug 8, 2024
$0.032
Aug 9, 2024
Sep 4, 2024
Apr 18, 2024
$0.034
Apr 19, 2024
May 20, 2024
Aug 3, 2023
$0.064
Aug 4, 2023
Sep 1, 2023
Apr 20, 2023
$0.005
Apr 21, 2023
May 19, 2023
Dividend Grafikleri
JFHHF Kâr Payları
JFHHF Dividend Growth (Yıllık Üstünlük)
Follow-Up Questions
Jupiter Fund Management Plc'in şu anki temettü ödemesi ve yıllık temettüsü nedir?
Jupiter Fund Management Plc'in temettü ödeme oranı nedir?
JFHHF'ün temettü dağıtım tarihi nedir?
Jupiter Fund Management Plc ne sıklıkla temettü öder?