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Est. tid*
2025-07-29 08:00 Kvartalsrapport 2025-Q2
2025-05-08 N/A Årsstämma
2025-04-17 N/A X-dag halvårsutdelning JUP 2.2
2025-02-27 - Bokslutskommuniké 2024
2024-08-08 - X-dag halvårsutdelning JUP 3.2
2024-07-26 - Kvartalsrapport 2024-Q2
2024-04-18 - X-dag halvårsutdelning JUP 3.4
2023-08-03 - X-dag halvårsutdelning JUP 3.5
2023-08-03 - X-dag bonusutdelning JUP 2.9
2023-04-20 - X-dag halvårsutdelning JUP 0.5
2022-08-11 - X-dag halvårsutdelning JUP 7.9
2022-04-21 - X-dag halvårsutdelning JUP 9.2
2021-08-12 - X-dag halvårsutdelning JUP 7.9
2021-04-15 - X-dag halvårsutdelning JUP 9.2
2021-04-15 - X-dag bonusutdelning JUP 3
2020-08-06 - X-dag halvårsutdelning JUP 7.9
2020-03-12 - X-dag halvårsutdelning JUP 9.2
2019-08-08 - X-dag halvårsutdelning JUP 7.9
2019-03-14 - X-dag halvårsutdelning JUP 9.2
2019-03-14 - X-dag bonusutdelning JUP 11.4
2018-08-09 - X-dag halvårsutdelning JUP 7.9
2018-03-08 - X-dag halvårsutdelning JUP 10.3
2018-03-08 - X-dag bonusutdelning JUP 15.5
2017-08-03 - X-dag halvårsutdelning JUP 6.8
2017-03-09 - X-dag halvårsutdelning JUP 10.2
2017-03-09 - X-dag bonusutdelning JUP 12.5
2016-08-04 - X-dag halvårsutdelning JUP 4.5
2016-03-10 - X-dag halvårsutdelning JUP 11.777777
2016-03-10 - X-dag bonusutdelning JUP 12.111111
2015-08-06 - X-dag halvårsutdelning JUP 4.44444
2015-03-19 - X-dag halvårsutdelning JUP 10.55556
2015-03-19 - X-dag bonusutdelning JUP 12.77778
2014-08-06 - X-dag halvårsutdelning JUP 4.11111
2014-04-09 - X-dag halvårsutdelning JUP 10.111111
2013-08-07 - X-dag halvårsutdelning JUP 3.888889
2013-03-06 - X-dag halvårsutdelning JUP 7
2012-08-08 - X-dag halvårsutdelning JUP 2.777778
2012-03-14 - X-dag halvårsutdelning JUP 5.888889
2011-08-31 - X-dag halvårsutdelning JUP 2.777778
2011-04-13 - X-dag ordinarie utdelning JUP 5.22 GBP
2025-02-27 08:00:06

27 February 2025

Jupiter Fund Management plc (the "Company" or "Jupiter")

Intention to Redeem 8.875 per cent. Fixed Rate Reset Callable Subordinated Notes due 2030 ISIN XS2160867326

As announced today as part of the Company's full year results, Jupiter has determined its intention to redeem the entire outstanding principal amount of its 8.875 per cent. Fixed Rate Reset Callable Subordinated Notes due 2030 (the "Notes") ISIN XS2160867326.  

The redemption is subject to meeting the conditions to redemption set out in Condition 6(b) (Conditions to Redemption, Substitution, Variation and Purchase) of the Terms and Conditions of the Notes, pursuant to Condition 6(d) (Issuer's Call Option) of the Terms and Conditions of the Notes.

Further details are expected to be provided in a notice to Note holders in due course. Such notice will specify the proposed redemption date, being a date falling not less than 30 nor more than 60 days from the notice date.

________________________________________________

LEI: 5493003DJ1G01IMQ7S28

For further information, please contact: 

Jupiter

Helen Archbold

Company Secretary

+44 (0)20 3817 1609

Alex James

Head of Investor Relations

+44 (0)20 3817 1636

Edelman Smithfield

Andrew Wilde

+44 (0)7786 022 022