Price
$23.47
Decreased by -3.30%
Dollar volume (20D)
4.91 M
ADR%
3.22
Earnings report date
Feb 1, 2024
Shares float
32.25 M
Shares short
833.72 K [2.59%]
Shares outstanding
41.51 M
Market cap
807.75 M
Beta
1.60
Price/earnings
11.31
20D range
21.98 26.57
50D range
21.44 26.57
200D range
15.20 26.57

BrightSphere Investment Group Inc. is a publically owned asset management holding company.

The firm provides its services to individuals and institutions.

It manages separate client focused portfolios through its subsidiaries.

The firm also launches equity mutual funds for its clients.

It invests in public equity, fixed income, and alternative investment markets through its subsidiaries.

The firm was founded in 1980 is based Boston, Massachusetts.

It was formally known as BrightSphere Investment Group plc.

BrightSphere Investment Group Inc. was formed in 1980 and is based in Boston, Massachusetts.

Reported date EPSChange YoY EstimateSurprise
May 9, 24 0.44
Increased by +57.14%
0.41
Increased by +7.32%
Feb 1, 24 0.77
Increased by +14.93%
0.58
Increased by +32.76%
Nov 2, 23 0.45
Increased by +50.00%
0.30
Increased by +50.00%
Aug 3, 23 0.28
Decreased by -31.71%
0.28
May 4, 23 0.28
Decreased by -46.15%
0.27
Increased by +3.70%
Feb 2, 23 0.67
Increased by +26.42%
0.37
Increased by +81.08%
Nov 3, 22 0.30
Increased by +7.14%
0.30
Jul 28, 22 0.41
Increased by +2.50%
0.38
Increased by +7.89%
Fiscal ending date RevenueChange YoY IncomeChange YoY ProfitChange YoY
Sep 30, 23 107.30 M
Increased by +23.62%
19.60 M
Increased by +10.11%
Increased by +18.27%
Decreased by -10.92%
Jun 30, 23 96.30 M
Increased by +0.84%
11.40 M
Decreased by -60.14%
Increased by +11.84%
Decreased by -60.47%
Mar 31, 23 91.80 M
Decreased by -18.18%
12.00 M
Decreased by -49.58%
Increased by +13.07%
Decreased by -38.38%
Dec 31, 22 122.70 M
Decreased by -24.68%
30.40 M
Decreased by -22.45%
Increased by +24.78%
Increased by +2.96%
Sep 30, 22 86.80 M
Decreased by -26.38%
17.80 M
Decreased by -92.24%
Increased by +20.51%
Decreased by -89.47%
Jun 30, 22 95.50 M
Decreased by -28.36%
28.60 M
Decreased by -94.63%
Increased by +29.95%
Decreased by -92.51%
Mar 31, 22 112.20 M
Decreased by -14.48%
23.80 M
Decreased by -11.85%
Increased by +21.21%
Increased by +3.08%
Dec 31, 21 162.90 M
Decreased by -8.89%
39.20 M
Decreased by -80.20%
Increased by +24.06%
Decreased by -78.27%
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