Janus Henderson Group plc (JHG)
NYSE: JHG · IEX Real-Time Price · USD
30.84
-0.36 (-1.15%)
Apr 16, 2024, 10:35 AM EDT - Market open

Janus Henderson Group Cash Flow Statement

Millions USD. Fiscal year is Jan - Dec.
Year 202320222021202020192018201720162015
Net Income
392372.4620130.3427.6523.8655.5189329.8
Depreciation & Amortization
22.931.740.749.262.662.652.827.823.4
Share-Based Compensation
77.490.668.266.774.282.467.437.343.6
Other Operating Activities
-50.7-21.4166.5399.5-101.22-331.6-19-7.9
Operating Cash Flow
441.6473.3895.4645.7463.2670.8444.1235.1388.9
Operating Cash Flow Growth
-6.70%-47.14%38.67%39.40%-30.95%51.05%88.90%-39.55%-
Capital Expenditures
-10.8-17.6-10.4-17.8-37.8-29.1-17.7-14.2-12.1
Acquisitions
3.3-127.443.82.342.4406.5-8.4-57.8
Change in Investments
-321.477.1-300.3103.4-353.887.6130.7-85.7130.7
Other Investing Activities
---------4
Investing Cash Flow
-328.958.5-283.3129.4-389.3100.9519.5-108.356.8
Dividends Paid
-258.7-259.4-256-262.9-272.4-275.1-256-157.5-161
Share Issuance / Repurchase
-116.3-208.4-431.4-178.9-238.9-177.8-20.4-43.3-118.9
Debt Issued / Paid
-1.5-1.4-0.5-0.6-1.1-96.6-34.1-203.40
Other Financing Activities
224.650.199.8-48.6305.4-67.3-194.265.658.4
Financing Cash Flow
-151.9-419.1-588.1-491-207-616.8-504.7-338.6-221.5
Exchange Rate Effect
30.9-54.9-13.527.513-32.512.1-48.7-19
Net Cash Flow
-8.357.810.5311.6-120.1122.4471-260.5205.2
Free Cash Flow
430.8455.7885627.9425.4641.7426.4220.9376.8
Free Cash Flow Growth
-5.46%-48.51%40.95%47.60%-33.71%50.49%93.03%-41.37%-
Free Cash Flow Margin
20.50%20.68%31.98%27.32%19.40%27.82%23.45%21.70%32.62%
Free Cash Flow Per Share
2.602.755.193.462.273.232.13--
Source: Financials are provided by Nasdaq Data Link and sourced from the audited annual (10-K) and quarterly (10-Q) reports submitted to the Securities and Exchange Commission (SEC).