Jupiter Fund Management

Jupiter Fund Management

Jupiter Fund Management plc (LSE: JUP) is a UK-based active asset manager with an expertise in fixed income, equities, alternatives and multi-asset strategies. As of September 30, 2024, it had £50.1 billion (US$67 billion) in total assets under management (AUM). Jupiter Fund Management was established in 1985 and today employs over 500 people. In 2020, it acquired Merian Global Investors, an independent London-based active fund manager. Jupiter Fund Management’s shares are traded on the London Stock Exchange, with a market capitalization of over £430 million as of November 5, 2024.

Fast Facts (FY 2023)
Revenue: £405.6 million
Net revenue: £369 million
Net income: £(12.9) million
Operating profit: £86.0 million
Total dividends per share: £9.8
Number of employees: 530

Headquarters address:
The Zig Zag Building
70 Victoria Street
London, SW1E 6SQ
United Kingdom

General Enquiries
Phone number: 0800 5614000
Overseas: +44 (0) 1268 448642
Website: www.jupiteram.com

International Offices

Jupiter Asset Management (Switzerland) AG
Löwenstrasse 16
8001 Zurich
Switzerland

ALFI Partners
18, Boulevard Montmartre
75009 Paris, France

Jupiter Asset Management International S.A.
Sede italiana
Via San Paolo 1
20121 Milan, Italy

Nordic Filial
Strandvägen 7a
114 56 Stockholm, Sweden
Tel: +46 (0) 8 767 40 00

Jupiter Asset Management (Hong Kong) Ltd
Suite 1706, Alexandra House
18 Chater Road, Central

Jupiter Asset Management (Asia) Private Ltd
Level 40, Ocean Financial Centre
10 Collyer Quay
Raffles Place, Singapore 049315

Jupiter Asset Management International S.A.
Niederlassung Frankfurt
Roßmarkt 10
60311 Frankfurt am Main, Germany

Jupiter Asset Management Ltd
Niederlassung Österreich
Goldenes Quartier, Tuchlauben 7a
1010 Wien, Austria

Jupiter Asset Management International S.A.
Sucursal en España
Paseo de la Castellana, 18
7th floor, 28046 Madrid, Spain

Jupiter Asset Management (Canada) Ltd
45 O’Connor Street
Ottawa, Canada