Valuation: Henderson Group Plc

Market Cap 8.01B 7.01B 6.47B 6.03B 11.37B 757B 11.57B 77.59B 30.12B 374B 30.08B 29.4B 1,301B P/E 2026 *
11.5x
P/E 2027 * 11.3x
Enterprise Value 4.97B 4.35B 4.02B 3.75B 7.06B 470B 7.19B 48.18B 18.71B 232B 18.68B 18.26B 808B EV / Sales 2026 *
1.69x
EV / Sales 2027 * 1.54x
Free-Float
99.61%
Yield 2026 *
3.19%
Yield 2027 * 3%
Manager TitleAgeSince
Chief Executive Officer 50 21/06/2022
Director of Finance/CFO 36 01/04/2026
Chief Tech/Sci/R&D Officer 54 01/08/2024
Director TitleAgeSince
Director/Board Member 58 01/05/2017
Director/Board Member 70 30/05/2017
Director/Board Member 72 01/05/2017
Change 5-day change 1-year change 3-year change Capi.($)
-90.07%+0.60% - - 8.01B
+0.20%-2.01%+49.20%+121.39% 150B
+1.07%-5.34%-8.40%+39.06% 147B
+0.79%-1.29%+59.58%+226.57% 98.7B
+1.19%-3.25%+7.52%+103.17% 94.08B
+1.42%-4.88%-15.85%+46.68% 70.25B
-0.29%-2.14%+59.88%+132.32% 47.1B
+1.79%-2.39%-14.75%+36.98% 40.17B
-0.40%+9.23%-39.66%+27.59% 33.4B
-0.34%-0.71%+38.03%+136.05% 32.37B
Average -8.42%-1.88%+15.06%+96.65% 79.32B
Weighted average by Cap. -0.33%-3.34%+19.28%+101.42%

Financials

2026 *2027 *
Net sales 2.95B 2.58B 2.38B 2.22B 4.18B 279B 4.26B 28.56B 11.09B 137B 11.07B 10.82B 479B 3.13B 2.74B 2.53B 2.36B 4.45B 296B 4.52B 30.34B 11.78B 146B 11.76B 11.5B 509B
Net income 672M 588M 543M 506M 954M 63.53B 971M 6.51B 2.53B 31.35B 2.52B 2.47B 109B 661M 578M 534M 498M 938M 62.45B 955M 6.4B 2.49B 30.82B 2.48B 2.43B 107B
Net Debt -3.03B -2.66B -2.45B -2.29B -4.31B -287B -4.39B -29.4B -11.41B -142B -11.4B -11.14B -493B -3.17B -2.78B -2.56B -2.39B -4.5B -300B -4.58B -30.74B -11.93B -148B -11.91B -11.65B -515B
Logo Henderson Group Plc
Janus Henderson Group plc is a United Kingdom-based independent global asset manager, which is specializing in active investment across various asset classes. The Company manages a broad range of investment products for institutional and retail investors across four capabilities: equities, fixed income, multi-asset and alternatives. Its intermediary channel distributes United States mutual funds, separately managed accounts, exchange-traded funds and various others, through financial intermediaries, including banks, financial advisors and discretionary wealth managers. The self-directed channel serves individual investors who invest in its products through a mutual fund supermarket or directly with the Company. Its institutional channel serves corporations, endowments, pension funds and others, with distribution direct to the plan sponsor and through consultants. It has operations in North America, the United Kingdom, continental Europe, Latin America, Japan, Asia, and Australia.
Employees
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Trader
Investor
Global
Quality
ESG MSCI
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