Watch this company for free updates

We require your email address in order to send you alerts by email. You can unsubscribe at any time.

Thank you, you are now watching this company.

You can choose which alerts you receive and can unsubscribe at any time.

Unlock this Credit Report

£20+VAT

  • Unlimited access for 12 months
  • Includes FREE report updates
  • Free email alerts when report changes
  • Includes 5 company documents
Buy Now
BUY 5 SAVE 50%

5 Credit Reports

£50+VAT

Upgrade to Lite

  • 5 credit reports
  • 100 accounts downloads
  • 100 accounts exports

Your plan will start immediately and the time remaining on your existing plan will be refunded

Yes, upgrade to Lite

JANUS HENDERSON GROUP PLC

UK Flag 13, Castle Street, JE1 1ES


JANUS HENDERSON GROUP PLC Credit Report

Includes Risk Score, Credit Limit, CCJs, Mortgages & Charges, Director & Secretary Timeline, Shareholders, Ownership & Group Stucture. Plus UNLIMITED updates and FREE documents!

JANUS HENDERSON GROUP PLC

Other

Active - Accounts Filed

12 December 2012

-

Available to 18 May 2023. Next accounts due by 30 Sep 2024

Remove These Ads

Current Directors & Secretaries

For a full in-depth analysis on each of these directors, click any of the links below

Name Role Date Of Birth Appointed
Mr Joshua David Frank Director
Leslie French Seidman Director
Mr Brian Michael Baldwin Director
Mr John Michael Cassaday Director
Ms Anne Sheehan Director
Ms Alison Quirk Director
Mr Ali Dibadj Director
Ms Michelle Rose Rosenberg Company Secretary
Mr Eugene Flood Jr Director
Mrs Kalpana Desai Director
Mrs Angela Charlotte Seymour-Jackson Director
Mr Kevin Claude Dolan Director

Previous Directors & Secretaries

Remove These Ads

Mortgages and Charges

No mortgages or charges have been registered against this company.
Remove These Ads

Key Financials

Sign Up Today to unlock this company's full accounts

Accounts
Cash £689,806,471.00 £570,191,137.00 £900,235,599.00 £892,310,146.00 £938,417,358.00
Net Worth £186,476,534.00 £210,179,684.00 £524,981,721.00 £589,741,544.00 £552,010,211.00
Total Current Liabilities £570,712,214.00 £551,005,798.00 £591,274,677.00 £626,675,175.00 £486,997,447.00
Total Current Assets £1,581,994,828.00 £1,847,519,507.00 £1,782,191,892.00 £1,921,825,143.00 £1,766,751,754.00
Remove These Ads