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Janus Henderson Group JHG Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$898.4M-1.0%$907.6M+50.5%$602.9M+27.8%$471.9M+12.1%$421M-5.5%
$39.2M+8.0%$36.3M+3.7%$35M+12.5%$31.1M+11.5%$27.9M+13.9%
$81.2M+1.4%$80.1M+1.4%$79M+4.8%$75.4M+3.4%$72.9M+1.7%
-$28.5M-334%
$15.8M+23.4%$12.8M+15.3%
$165.2M+12.5%$146.9M+34.6%$109.1M+22.6%$89M+108%$42.8M-39.5%
$951.5M+32.2%$719.5M+11.7%$644.1M+4.9%$613.8M-12.6%$702.4M+1.1%
$9.9M+15.1%$8.6M-14.9%$10.1M-1.9%$10.3M+1.0%$10.2M+1.0%
$115M-12.3%$131.1M+1.4%$129.3M+1.9%
$187.7M-24.7%$249.2M-0.2%$249.7M0.0%$249.6M+0.5%$248.4M-0.7%
-$269.8M-12.8%-$239.1M+64.3%-$670.2M-713%-$82.4M-25.6%-$65.6M+79.8%
$34.4M+588%$5M+128%
$303.9M+418%$58.7M
$22.1M+19.5%
$173.6M+1.5%$171M+2.4%$167M-1.1%$168.9M+29.3%$130.6M-2.0%
$1.2M+186%-$1.4M+96.7%-$42.1M+72.8%-$154.6M+3.7%-$160.5M-16.2%
$165.2M+12.5%$146.9M+34.6%$109.1M+22.6%$89M+108%$42.8M-39.5%
-$28.5M-334%
$15.8M+23.4%$12.8M+15.3%
$86.5M-8.0%$94M
$13.8M+51.6%$9.1M
$8.4M-8.7%$9.2M+100%$4.6M+12.2%$4.1M+1,125%-$400K-33.3%
$142.6M-15.8%$169.4M-13.5%$195.9M+15.8%$169.1M+10.0%$153.7M-26.2%
$173.6M+1.5%$171M+2.4%$167M-1.1%$168.9M+29.3%$130.6M-2.0%
$941.6M+32.5%$710.9M+12.1%$634M+5.1%$603.5M-12.8%$692.2M+1.1%
$941.6M+32.5%$710.9M+12.1%$634M+5.1%$603.5M-12.8%$692.2M+1.1%

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Questions, answered.

How much cash does Janus Henderson Group generate?
Janus Henderson Group (JHG) generated $951.5M in operating cash flow over the trailing twelve months.
What is Janus Henderson Group's free cash flow?
After $9.9M of capital expenditures, Janus Henderson Group's free cash flow was $941.6M over the trailing twelve months, up 36.0% year over year.
Where does Janus Henderson Group's cash flow data come from?
Every line is extracted from Janus Henderson Group's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.