Why Numis Has Just Restated Their “Hold” Rating For Jupiter Fund Management plc (LON:JUP) Shares

July 27, 2018 - By Lisa Delgado

Jupiter Fund Management plc (LON:JUP) Rating Reaffirmed

In an analyst note issued to clients and investors by Numis on 27 July, The Rating on Jupiter Fund Management plc (LON:JUP) shares of a ‘”Hold”‘ was reiterated.

Jupiter Fund Management Plc (LON:JUP) Ratings Coverage

Among 11 analysts covering Jupiter Fund Management plc (LON:JUP), 1 have Buy rating, 5 Sell and 5 Hold. Therefore 9% are positive. Jupiter Fund Management plc has GBX 664 highest and GBX 395 lowest target. GBX 493.73’s average target is 15.52% above currents GBX 427.4 stock price. Jupiter Fund Management plc had 25 analyst reports since January 31, 2018 according to SRatingsIntel. On Friday, July 27 the stock rating was maintained by Peel Hunt with “Hold”. The firm earned “Buy” rating on Friday, March 2 by Liberum Capital. The rating was maintained by BNP Paribas on Thursday, April 5 with “Underperform”. Numis Securities maintained it with “Hold” rating and GBX 580 target in Thursday, February 22 report. Citigroup maintained Jupiter Fund Management Plc (LON:JUP) rating on Thursday, February 22. Citigroup has “Sell” rating and GBX 500 target. The rating was maintained by Liberum Capital on Tuesday, February 27 with “Buy”. On Tuesday, February 27 the stock rating was maintained by Numis Securities with “Hold”. Jefferies downgraded Jupiter Fund Management Plc (LON:JUP) rating on Monday, July 23. Jefferies has “Hold” rating and GBX 480 target. Numis Securities maintained the shares of JUP in report on Friday, June 1 with “Hold” rating. The rating was maintained by Shore Capital with “Hold” on Tuesday, February 27.

The stock decreased 3.48% or GBX 15.4 during the last trading session, reaching GBX 427.4. About 733,374 shares traded. Jupiter Fund Management Plc (LON:JUP) has 0.00% since July 27, 2017 and is . It has underperformed by 12.57% the S&P500.

Jupiter Fund Management Plc is a publicly owned investment manager. The company has market cap of 1.92 billion GBP. The firm manages mutual funds, hedge funds, client focused portfolios, and multi-manager products for its clients. It has a 12.68 P/E ratio. It invests in the public equity markets across U.K., Europe and global emerging markets.

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