0001437749-23-021511.txt : 20230802 0001437749-23-021511.hdr.sgml : 20230802 20230802060224 ACCESSION NUMBER: 0001437749-23-021511 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 16 CONFORMED PERIOD OF REPORT: 20230802 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20230802 DATE AS OF CHANGE: 20230802 FILER: COMPANY DATA: COMPANY CONFORMED NAME: JANUS HENDERSON GROUP PLC CENTRAL INDEX KEY: 0001274173 STANDARD INDUSTRIAL CLASSIFICATION: INVESTMENT ADVICE [6282] IRS NUMBER: 000000000 STATE OF INCORPORATION: Y9 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-38103 FILM NUMBER: 231133563 BUSINESS ADDRESS: STREET 1: 201 BISHOPSGATE CITY: LONDON STATE: X0 ZIP: EC2M 3AE BUSINESS PHONE: 442078181818 MAIL ADDRESS: STREET 1: 201 BISHOPSGATE CITY: LONDON STATE: X0 ZIP: EC2M 3AE FORMER COMPANY: FORMER CONFORMED NAME: HENDERSON GROUP PLC DATE OF NAME CHANGE: 20050511 FORMER COMPANY: FORMER CONFORMED NAME: HHG PLC DATE OF NAME CHANGE: 20031223 8-K 1 jhg20230531_8k.htm FORM 8-K jhg20230531_8k.htm
false 0001274173 0001274173 2023-08-02 2023-08-02
 


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
 
FORM 8-K
 
CURRENT REPORT
Pursuant to Section 13 or 15(d) of the
Securities Exchange Act of 1934
 
Date of Report (Date of earliest event reported): August 2, 2023
 
Commission File Number 001-38103
 
jlogo.jpg
 
JANUS HENDERSON GROUP PLC
(Exact name of registrant as specified in its charter)
 
Jersey, Channel Islands
(State or other jurisdiction of
incorporation or organization)
98-1376360
(I.R.S. Employer
Identification No.)
201 Bishopsgate
London, United Kingdom
(Address of principal executive offices)
EC2M3AE
(Zip Code)
 
+44 (0) 20 7818 1818
(Registrant’s telephone number, including area code)
 
N/A
(Former name, former address and former fiscal year, if changed since last report)
 
Securities registered pursuant to Section 12(b) of the Act:
 
Title of each class
Trading Symbol(s)
Name of each exchange on which registered
Common Stock, $1.50 Per Share Par Value
JHG
New York Stock Exchange
 
 
Check the appropriate box below if the Form 8‑K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instruction A.2. below): 
 
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
 
Soliciting material pursuant to Rule 14a‑12 under the Exchange Act (17 CFR 240.14a‑12)
 
Pre-commencement communications pursuant to Rule 14d‑2(b) under the Exchange Act (17 CFR 240.14d‑2(b))
 
Pre-commencement communications pursuant to Rule 13e‑4(c) under the Exchange Act (17 CFR 240.13e‑4(c))
 
Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b‑2 of the Securities Exchange Act of 1934 (§240.12b‑2 of this chapter).
 
Emerging growth company 
 
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. ☐
 


 
 

 
Item 2.02         Results of Operations and Financial Condition.
 
On August 2, 2023, JHG issued a press release reporting its financial results for the second quarter 2023. A copy of that press release is being furnished as Exhibit 99.1 to this Current Report.
 
 
Item 9.01         Financial Statements and Exhibits.
 
(d) Exhibits. The following exhibits are being furnished herewith.
 
Exhibit
Number
 
Description
99.1
 
     
104
 
Cover Page Interactive Data File - The cover page interactive data file does not appear in the Interactive Data File because its XBRL tags are embedded within the Inline XBRL document.
 
2
 
 
SIGNATURE
 
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
 
 
Janus Henderson Group plc
   
Date: August 2, 2023
By:
/s/ Roger Thompson
   
Roger Thompson
   
Chief Financial Officer
 
 
3
EX-99.1 2 ex_528033.htm EXHIBIT 99.1 ex_528033.htm

Exhibit 99.1

 jlogosm.jpg

Janus Henderson Group plc Reports Second Quarter 2023 Results

 

 

Solid investment performance, with 64%, 68%, 66%, and 71% of assets under management (“AUM”) outperforming relevant benchmarks on a one-, three-, five-, and 10-year basis, respectively, as of June 30, 2023

 

 

AUM increased 4% compared to the first quarter 2023 to US$322.1 billion

 

 

US$(0.5) billion of net outflows in second quarter 2023 compared to US$(7.8) billion of net outflows in second quarter 2022

 

 

Second quarter 2023 diluted EPS of US$0.54, or US$0.62 on an adjusted basis

 

 

Board declared a quarterly dividend of US$0.39 per share

 

LONDON — Janus Henderson Group plc (NYSE/ASX: JHG; “JHG” or the “Company”) published its second quarter 2023 results for the period ended June 30, 2023. Second quarter 2023 operating income was US$117.9 million compared to US$100.4 million in the first quarter 2023 and US$143.9 million in the second quarter 2022. Adjusted operating income, adjusted for one-time, acquisition and transaction related costs, was US$121.5 million in the second quarter 2023 compared to US$105.6 million in the first quarter 2023 and US$149.3 million in the second quarter 2022.

 

Second quarter 2023 diluted earnings per share of US$0.54 compared to US$0.53 in the first quarter 2023 and US$0.57 in the second quarter 2022. Adjusted diluted earnings per share of US$0.62 in the second quarter 2023 compared to US$0.55 in the first quarter 2023 and compared to US$0.63 in the second quarter 2022.

 

Ali Dibadj, Chief Executive Officer, stated:

 

“Janus Henderson has delivered a tremendous amount of positive change over the last year, and I am very pleased with our direction. We are in the initial stages of executing our strategic plan, and early progress is tangible, as evidenced by delivering our two best net flow quarters in nearly three years.

 

"We continue to deliver good quarterly results, investment performance is solid, we are generating substantial cash flow, and we have a strong and stable balance sheet. Our path to delivering consistent organic growth will not be linear, and we remain encouraged with the momentum and activity levels in the business. Our focus continues to be on our mission of helping clients define and achieve superior financial outcomes through differentiated insights, disciplined investments, and world-class service, and to deliver desired results for our clients, shareholders, employees, and all our other stakeholders.”

 

 

Page | 1

 

 

SUMMARY OF FINANCIAL RESULTS (unaudited) (in US$ millions, except per share data or as noted)

 

The Company presents its financial results in US$ and in accordance with accounting principles generally accepted in the United States of America (“GAAP”). However, JHG management evaluates the profitability of the Company and its ongoing operations using additional non-GAAP financial measures. Management uses these performance measures to evaluate the business, and adjusted values are consistent with internal management reporting. See “Reconciliation of non-GAAP financial information” below for additional information.

 

   

Three months ended

 
   

30 Jun

   

31 Mar

   

30 Jun

 
   

2023

   

2023

   

2022

 

GAAP basis:

                       

Revenue

    516.5       495.8       555.5  

Operating expenses

    398.6       395.4       411.6  

Operating income

    117.9       100.4       143.9  

Operating margin

    22.8 %     20.3 %     25.9 %

Net income attributable to JHG

    89.8       87.4       96.2  

Diluted earnings per share

    0.54       0.53       0.57  
                         

Adjusted basis:

                       

Revenue

    401.9       383.8       427.7  

Operating expenses

    280.4       278.2       278.4  

Operating income

    121.5       105.6       149.3  

Operating margin

    30.2 %     27.5 %     34.9 %

Net income attributable to JHG

    102.0       91.3       104.9  

Diluted earnings per share

    0.62       0.55       0.63  

 

DIVIDEND AND SHARE BUYBACK

 

On August 1, 2023, the Board declared a second quarter dividend in respect of the three months ended June 30, 2023, of US$0.39 per share. Shareholders on the register on the record date of August 14, 2023, will be paid the dividend on August 30, 2023.

 

The Company did not purchase any shares of its common stock on the New York Stock Exchange (“NYSE”) or CHESS Depositary Interests (“CDIs”) on the Australian Securities Exchange (“ASX”) in the second quarter 2023.

 

AUM AND FLOWS (in US$ billions)

 

FX reflects movement in AUM resulting from changes in foreign currency rates as non-US$ denominated AUM is translated into US$. Redemptions include impact of client switches.

 

Total comparative AUM and flows

 

   

Three months ended

 
   

30 Jun

   

31 Mar

   

30 Jun

 
   

2023

   

2023

   

2022

 

Opening AUM

    310.5       287.3       361.0  

Sales

    15.2       19.5       16.4  

Redemptions

    (15.7 )     (14.0 )     (24.2 )

Net sales / (redemptions)

    (0.5 )     5.5       (7.8 )

Market / FX

    12.1       17.7       (53.5 )

Closing AUM

    322.1       310.5       299.7  

 

 

Page | 2

 

Quarterly AUM and flows by capability

 

                                         
           

Fixed

                         
   

Equities

   

Income

   

Multi-Asset

   

Alternatives

   

Total

 

AUM 30 Jun 2022

    177.0       64.5       46.5       11.7       299.7  

Sales

    4.8       4.4       1.5       0.7       11.4  

Redemptions

    (8.9 )     (5.6 )     (1.7 )     (1.0 )     (17.2 )

Net sales / (redemptions)

    (4.1 )     (1.2 )     (0.2 )     (0.3 )     (5.8 )

Market / FX

    (11.1 )     (4.8 )     (2.5 )     (0.9 )     (19.3 )

AUM 30 Sep 2022

    161.8       58.5       43.8       10.5       274.6  

Sales

    5.6       7.7       1.1       0.4       14.8  

Redemptions

    (13.1 )     (9.6 )     (2.1 )     (1.0 )     (25.8 )

Net sales / (redemptions)

    (7.5 )     (1.9 )     (1.0 )     (0.6 )     (11.0 )

Market / FX

    17.0       3.2       2.7       0.8       23.7  

AUM 31 Dec 2022

    171.3       59.8       45.5       10.7       287.3  

Sales

    10.7       7.3       1.0       0.5       19.5  

Redemptions

    (7.4 )     (3.7 )     (1.8 )     (1.1 )     (14.0 )

Net sales / (redemptions)

    3.3       3.6       (0.8 )     (0.6 )     5.5  

Market / FX

    13.9       1.6       2.1       0.1       17.7  

AUM 31 Mar 2023

    188.5       65.0       46.8       10.2       310.5  

Sales

    8.6       5.1       1.1       0.4       15.2  

Redemptions

    (8.6 )     (4.1 )     (1.8 )     (1.2 )     (15.7 )

Net sales / (redemptions)

          1.0       (0.7 )     (0.8 )     (0.5 )

Market / FX

    10.6       (0.1 )     1.6             12.1  

Reclassifications and disposals

    0.4                   (0.4 )      

AUM 30 Jun 2023

    199.5       65.9       47.7       9.0       322.1  

 

Average AUM by capability

 

   

Three months ended

 
   

30 Jun

   

31 Mar

   

30 Jun

 
   

2023

   

2023

   

2022

 

Equities

    193.4       184.0       197.0  

Fixed Income

    65.8       63.5       68.8  

Multi-Asset

    47.1       46.5       49.5  

Alternatives

    9.5       10.5       13.2  

Total

    315.8       304.5       328.5  

 

 

Page | 3

 

INVESTMENT PERFORMANCE

 

% of AUM outperforming benchmark (as of June 30, 2023)

 

Capability

 

1-year

   

3-year

   

5-year

   

10-year

 

Equities

    61

%

    58

%

    53

%

    59

%

Fixed Income

    50

%

    73

%

    85

%

    90

%

Multi-Asset

    95

%

    97

%

    96

%

    96

%

Alternatives

    49

%

    96

%

    100

%

    100

%

Total

    64

%

    68

%

    66

%

    71

%

 

Outperformance is measured based on composite performance gross of fees versus primary benchmark, except where a strategy has no benchmark index or corresponding composite in which case the most relevant metric is used: (1) composite gross of fees versus zero for absolute return strategies, (2) fund net of fees versus primary index, or (3) fund net of fees versus Morningstar peer group average or median. Non-discretionary and separately managed account assets are included with a corresponding composite where applicable.

 

Cash management vehicles, ETF-enhanced beta strategies, Managed CDOs, Private Equity funds, and custom non-discretionary accounts with no corresponding composite are excluded from the analysis. Performance across all time periods excludes Intech, the sale of which was completed March 31, 2022. Excluded assets represent 3% of AUM. Capabilities defined by Janus Henderson.

 

% of mutual fund AUM in top 2 Morningstar quartiles (as of June 30, 2023)

 

Capability

 

1-year

   

3-year

   

5-year

   

10-year

 

Equities

    71

%

    57

%

    79

%

    88

%

Fixed Income

    22

%

    35

%

    52

%

    66

%

Multi-Asset

    93

%

    96

%

    92

%

    96

%

Alternatives

    78

%

    38

%

    45

%

    100

%

Total

    70

%

    61

%

    78

%

    87

%

 

Includes Janus Investment Fund, Janus Aspen Series and Clayton Street Trust (U.S. Trusts), Janus Henderson Capital Funds (Dublin based), Dublin and UK OEIC and Investment Trusts, Luxembourg SICAVs, and Australian Managed Investment Schemes. Performance across all time periods excludes Intech, the sale of which was completed March 31, 2022. The top two Morningstar quartiles represent funds in the top half of their category based on total return. For the 1-, 3-, 5-, and 10-year periods ending June 30, 2023, 49%, 49%, 55%, and 63% of the 185, 178, 168, and 153 total mutual funds, respectively, were in the top 2 Morningstar quartiles.

 

Analysis based on “primary” share class (Class I Shares, Institutional Shares, or share class with longest history for U.S. Trusts; Class A Shares or share class with longest history for Dublin based; primary share class as defined by Morningstar for other funds). Performance may vary by share class. Rankings may be based, in part, on the performance of a predecessor fund or share class and are calculated by Morningstar using a methodology that differs from that used by Janus Henderson. Methodology differences may have a material effect on the return and therefore the ranking. When an expense waiver is in effect, it may have a material effect on the total return, and therefore the ranking for the period.

 

ETFs and funds not ranked by Morningstar are excluded from the analysis. Capabilities defined by Janus Henderson. © 2023 Morningstar, Inc. All Rights Reserved.

 

Page | 4

 

 

SECOND QUARTER 2023 RESULTS BRIEFING INFORMATION

 

Chief Executive Officer Ali Dibadj and Chief Financial Officer Roger Thompson will present these results on August 2, 2023, on a conference call and webcast to be held at 8 a.m. EDT, 1 p.m. BST, 10 p.m. AEST.

 

Those wishing to participate should call:

 

United States

833 470 1428 (toll free)

United Kingdom

0808 189 6484 (toll free)

Australia

02 7908 3093 (this is not toll free)

All other countries

+1 404 975 4839 (this is not toll free)

Conference ID

088536

 

Access to the webcast and accompanying slides will be available via the investor relations section of Janus Henderson’s website (ir.janushenderson.com).

 

About Janus Henderson

 

Janus Henderson Group is a leading global active asset manager dedicated to helping clients define and achieve superior financial outcomes through differentiated insights, disciplined investments, and world-class service. As of June 30, 2023, Janus Henderson had approximately US$322 billion in assets under management, more than 2,000 employees, and offices in 24 cities worldwide. Headquartered in London, the company is listed on the NYSE and the ASX.

 

 

Investor enquiries:

Media enquiries:

Jim Kurtz

Nicole Mullin

Head of Investor Relations
+1 303 336 4529

Director of Media Relations

+44 (0)20 7818 2511

jim.kurtz@janushenderson.com

nicole.mullin@janushenderson.com

   

Or

 
   

Investor Relations

 

investor.relations@janushenderson.com

 

 

Page | 5

 

 

FINANCIAL DISCLOSURES

 

Condensed consolidated statements of comprehensive income (unaudited)

 

   

Three months ended

 
   

30 Jun

   

31 Mar

   

30 Jun

 

(in US$ millions, except per share data or as noted)

 

2023

   

2023

   

2022

 

Revenue:

                       

Management fees

    423.5       414.6       453.6  

Performance fees

    (5.9 )     (14.9 )     (3.4 )

Shareowner servicing fees

    53.3       51.5       56.3  

Other revenue

    45.6       44.6       49.0  

Total revenue

    516.5       495.8       555.5  
                         

Operating expenses:

                       

Employee compensation and benefits

    147.7       140.3       145.0  

Long-term incentive plans

    37.6       55.5       40.7  

Distribution expenses

    114.6       112.0       127.8  

Investment administration

    11.1       11.6       10.3  

Marketing

    9.3       8.8       7.8  

General, administrative and occupancy

    72.2       61.1       72.3  

Depreciation and amortization

    6.1       6.1       7.7  

Total operating expenses

    398.6       395.4       411.6  
                         

Operating income

    117.9       100.4       143.9  
                         

Interest expense

    (3.2 )     (3.1 )     (3.2 )

Investment gains (losses), net

    6.9       17.6       (109.4 )

Other non-operating income, net

    7.0       7.1       0.6  

Income before taxes

    128.6       122.0       31.9  

Income tax provision

    (28.2 )     (26.0 )     (36.7 )

Net income

    100.4       96.0       (4.8 )

Net loss (income) attributable to noncontrolling interests

    (10.6 )     (8.6 )     101.0  

Net income attributable to JHG

    89.8       87.4       96.2  

Less: allocation of earnings to participating stock-based awards

    (2.7 )     (2.4 )     (3.0 )

Net income attributable to JHG common shareholders

    87.1       85.0       93.2  
                         

Basic weighted-average shares outstanding (in millions)

    160.5       160.2       161.9  

Diluted weighted-average shares outstanding (in millions)

    160.7       160.4       162.2  
                         

Diluted earnings per share (in US$)

    0.54       0.53       0.57  

 

Page | 6

 

 

Reconciliation of non-GAAP financial information

 

In addition to financial results reported in accordance with GAAP, we compute certain financial measures using non-GAAP components, as defined by the SEC. These measures are not in accordance with, or a substitute for, GAAP, and our financial measures may be different from non-GAAP financial measures used by other companies. We have provided a reconciliation of our non-GAAP components to the most directly comparable GAAP components. The following are reconciliations of GAAP revenue, operating expenses, operating income, net income attributable to JHG, and diluted earnings per share to adjusted revenue, adjusted operating expenses, adjusted operating income, adjusted net income attributable to JHG, and adjusted diluted earnings per share.

 

   

Three months ended

 
   

30 Jun

   

31 Mar

   

30 Jun

 

(in US$ millions, except per share data or as noted)

 

2023

   

2023

   

2022

 

Reconciliation of revenue to adjusted revenue

                       

Revenue

    516.5       495.8       555.5  

Management fees1

    (41.8 )     (40.8 )     (50.9 )

Shareowner servicing fees1

    (43.3 )     (42.3 )     (46.9 )

Other revenue1

    (29.5 )     (28.9 )     (30.0 )

Adjusted revenue

    401.9       383.8       427.7  
                         

Reconciliation of operating expenses to adjusted operating expenses

                       

Operating expenses

    398.6       395.4       411.6  

Employee compensation and benefits2

    (1.5 )     (1.2 )      

Long-term incentive plans2

    (0.6 )     (2.5 )     (3.6 )

Distribution expenses1

    (114.6 )     (112.0 )     (127.8 )

General, administration and occupancy2

    (1.0 )     (1.0 )     (1.1 )

Depreciation and amortization3

    (0.5 )     (0.5 )     (0.7 )

Adjusted operating expenses

    280.4       278.2       278.4  
                         

Adjusted operating income

    121.5       105.6       149.3  
                         

Operating margin

    22.8 %     20.3 %     25.9 %

Adjusted operating margin

    30.2 %     27.5 %     34.9 %
                         

Reconciliation of net income attributable to JHG to adjusted net income attributable to JHG

                       

Net income attributable to JHG

    89.8       87.4       96.2  

Employee compensation and benefits2

    1.5       1.2        

Long-term incentive plans2

    0.6       2.5       3.6  

General, administration and occupancy2

    1.0       1.0       1.1  

Depreciation and amortization3

    0.5       0.5       0.7  

Investment gains, net4

    12.5              

Other non-operating income, net4

                3.0  

Income tax benefit (provision)5

    (3.9 )     (1.3 )     0.3  

Adjusted net income attributable to JHG

    102.0       91.3       104.9  

Less: allocation of earnings to participating stock-based awards

    (3.1 )     (2.5 )     (3.3 )

Adjusted net income attributable to JHG common shareholders

    98.9       88.8       101.6  
                         

Weighted-average diluted common shares outstanding – diluted (in millions)

    160.7       160.4       162.2  

Diluted earnings per share (in US$)

    0.54       0.53       0.57  

Adjusted diluted earnings per share (in US$)

    0.62       0.55       0.63  

 


Page | 7

 

 

1

JHG contracts with third-party intermediaries to distribute and service certain of its investment products. Fees for distribution and servicing related activities are either provided for separately in an investment product’s prospectus or are part of the management fee. Under both arrangements, the fees are collected by JHG and passed through to third-party intermediaries who are responsible for performing the applicable services. The majority of distribution and servicing fees collected by JHG are passed through to third-party intermediaries. JHG management believes that the deduction of distribution and servicing fees from revenue in the computation of adjusted revenue reflects the pass-through nature of these revenues. In certain arrangements, JHG performs the distribution and servicing activities and retains the applicable fees. Revenues for distribution and servicing activities performed by JHG are not deducted from GAAP revenue.

 

2

Adjustments consist primarily of the acceleration of long-term incentive plan expense related to the departure of certain employees. JHG management believes these costs are not representative of our ongoing operations.

 

3

Investment management contracts have been identified as a separately identifiable intangible asset arising on the acquisition of subsidiaries and businesses. Such contracts are recognized at the net present value of the expected future cash flows arising from the contracts at the date of acquisition. For segregated mandate contracts, the intangible asset is amortized on a straight-line basis over the expected life of the contracts. JHG management believes these non-cash and acquisition-related costs are not representative of our ongoing operations.

 

4

The adjustment for the three months ended June 30, 2023, includes a correction of previously recognized earnings associated with an equity method investment. Adjustments for the three months ended June 30, 2022, consist primarily of accumulated foreign currency translation expense related to liquidated JHG entities. JHG management believes these costs are not representative of our ongoing operations.

 

5

The tax impact of the adjustments is calculated based on the applicable U.S. or foreign statutory tax rate as it relates to each adjustment. Certain adjustments are either not taxable or not tax-deductible.

 

Condensed consolidated balance sheets (unaudited)

 

   

30 Jun

   

31 Dec

 

(in US$ millions)

 

2023

   

2022

 

Assets:

               

Cash and cash equivalents

    996.9       1,162.3  

Investment securities

    312.0       261.6  

Property, equipment and software, net

    48.3       51.8  

Intangible assets and goodwill, net

    3,717.6       3,667.8  

Assets of consolidated variable interest entities

    499.7       352.0  

Other assets

    813.7       742.3  

Total assets

    6,388.2       6,237.8  
                 

Liabilities, redeemable noncontrolling interests and equity:

               

Long-term debt

    306.0       307.5  

Deferred tax liabilities, net

    578.9       574.6  

Liabilities of consolidated variable interest entities

    5.0       4.3  

Other liabilities

    626.7       754.9  

Redeemable noncontrolling interests

    389.8       233.9  

Total equity

    4,481.8       4,362.6  

Total liabilities, redeemable noncontrolling interests and equity

    6,388.2       6,237.8  

 

Condensed consolidated statements of cash flows (unaudited)

 

   

Three months ended

 
   

30 Jun

   

31 Mar

   

30 Jun

 

(in US$ millions)

 

2023

   

2023

   

2022

 

Cash provided by (used for):

                       

Operating activities

    171.4       (108.2 )     162.9  

Investing activities

    (23.0 )     (235.1 )     76.1  

Financing activities

    1.9       13.8       (135.9 )

Effect of exchange rate changes

    11.8       15.4       (42.8 )

Net change during period

    162.1       (314.1 )     60.3  

 

Page | 8

 

 

Basis of preparation

 

In the opinion of management of Janus Henderson Group plc, the condensed consolidated financial statements contain all normal recurring adjustments necessary to fairly present the financial position, results of operations, and cash flows of JHG in accordance with GAAP. Such financial statements have been prepared in accordance with the instructions to Form 10‑Q pursuant to the rules and regulations of the SEC. Certain information and footnote disclosures normally included in financial statements prepared in accordance with GAAP have been condensed or omitted pursuant to such rules and regulations. The financial statements should be read in conjunction with the annual consolidated financial statements and notes presented in Janus Henderson’s Annual Report on Form 10‑K for the year ended December 31, 2022, filed with the SEC (Commission File No. 001‑38103). Events subsequent to the balance sheet date have been evaluated for inclusion in the financial statements through the issuance date and are included in the notes to the condensed consolidated financial statements.

 

FORWARD-LOOKING STATEMENTS DISCLAIMER

 

Past performance is no guarantee of future results. Investing involves risk, including the possible loss of principal and fluctuation of value.

 

This document includes statements concerning potential future events involving Janus Henderson Group plc that could differ materially from the events that actually occur. The differences could be caused by a number of factors, including, but not limited to, increasing interest rates and inflation, volatility, or disruption in financial markets, our investment performance as compared to third-party benchmarks or competitive products, redemptions and other withdrawals from the funds and accounts we manage, and other factors identified in JHG’s Annual Report on Form 10‑K for the fiscal year ended December 31, 2022, and in other filings or furnishings made by the Company with the Securities and Exchange Commission from time to time (Commission File No. 001‑38103), including those that appear under headings such as “Risk Factors” and “Management’s Discussion and Analysis of Financial Condition and Results of Operations.” Many of these factors are beyond the control of JHG and its management. Any forward-looking statements contained in this document are as of the date on which such statements were made. The Company undertakes no obligation to publicly update or revise any forward-looking statements after the date they are made, whether as a result of new information, future events, or otherwise, except as required by law.

 

Annualized, pro forma, projected, and estimated numbers are used for illustrative purposes only, are not forecasts, and may not reflect actual results.

 

The information, statements, and opinions contained in this document do not constitute a public offer under any applicable legislation or an offer to sell or solicitation of any offer to buy any securities or financial instruments or any advice or recommendation with respect to such securities or other financial instruments.

 

Not all products or services are available in all jurisdictions.

 

Janus Henderson is a trademark of Janus Henderson Group plc or one of its subsidiaries.

© Janus Henderson Group plc.

 

Page | 9
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Document And Entity Information
Aug. 02, 2023
Document Information [Line Items]  
Entity, Registrant Name JANUS HENDERSON GROUP PLC
Document, Type 8-K
Document, Period End Date Aug. 02, 2023
Entity, File Number 001-38103
Entity, Incorporation, State or Country Code Y9
Entity, Tax Identification Number 98-1376360
Entity, Address, Address Line One 201 Bishopsgate
Entity, Address, City or Town London
Entity, Address, Country GB
Entity, Address, Postal Zip Code EC2M3AE
City Area Code (0) 20
Local Phone Number 7818 1818
Title of 12(b) Security Common Stock
Trading Symbol JHG
Security Exchange Name NYSE
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Entity, Emerging Growth Company false
Amendment Flag false
Entity, Central Index Key 0001274173
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