Jefferies Financial Group Inc (JEF)

Industry Capital Markets

This stock can be held in an Investment ISA and an Investment Account
Sell

$20.26

Buy

$52.83

arrow-down$-0.04 (-0.08%)

Jefferies Financial Group Inc is a financial service company. The company's objective is to create long-term value for shareholders. It provides various services such as wealth management, financial planning, investment advisory services and others.
Prices updated at 09 May 2025, 09:04 EDT
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Prices in USD

Income statement

20162017201920202021202220232024
3,848m5,049m5,359m6,956m8,945m7,149m7,441m10,515m
1,560m2,541m2,904m3,325m4,618m3,772m4,510m6,216m
645m1,653m1,741m2,088m3,523m2,613m3,310m4,713m
-32.7432.5030.0139.3836.5544.4844.82
130m172m965m775m1,674m785m278m743m
917m1,688m2,097m2,171m3,343m2,415m3,209m4,684m
Sales, General and administrative797m778m1,010m1,079m710m793m850m961m
Interest expenses813m971m1,466m945m932m1,170m2,741m3,480m
Provision for income taxes26m642m-484m299m577m274m92m293m
Operating expenses914m888m1,163m1,237m1,095m1,158m1,200m1,504m
Income before taxes-13m607m479m1,067m2,254m1,056m354m1,006m
Net income available to common shareholders125m167m954m765m1,657m777m263m669m
0.340.453.072.686.293.131.123.08
Net interest income-813m-971m-1,466m-945m-932m-1,170m-2,741m-3,480m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.340.453.032.656.133.061.12.99
Free cash flow per share1.1062.9323-0.59625.05112.592410.5341-6.8733-9.2041
Book value/share27.988229.340634.358537.680342.628845.516146.047448.8841
Debt equity ratio-1.061721.0294891.1428881.0612111.2895061.5553591.961371

Balance sheet

20162017201920202021202220232024
Current assets26,939m29,569m32,778m17,962m21,363m29,874m34,854m39,605m
Current liabilities23,080m24,719m26,765m19,469m22,280m9,310m12,408m11,714m
Total capital20,328m20,836m19,442m19,567m21,205m20,373m24,267m29,443m
Total debt17,517m19,826m17,915m19,829m19,868m11,202m16,092m20,364m
Total equity10,128m10,106m9,580m9,404m10,554m10,233m9,710m10,157m
Total non current liabilities--------
Loans10,200m10,730m9,862m10,163m10,651m10,140m14,558m19,286m
Total assets45,071m47,169m49,460m53,118m60,404m51,058m57,905m64,360m
Total liabilities--------
Cash and cash equivalents3,808m5,275m7,679m9,055m10,755m9,703m8,526m12,153m
Common stock359m356m292m250m244m226m211m206m

Cash flow

20162017201920202021202220232024
Cash at beginning of period3,639m3,808m6,013m8,480m9,665m11,828m10,707m9,831m
Cash dividends paid-91m-117m-150m-161m-223m-280m-279m-303m
290m879m-1,060m1,899m1,407m1,581m-1,935m-460m
Investments (gains) losses-640m-47m1,707m-186m-401m-61m-12m210m
3,808m5,275m8,480m9,665m11,828m10,707m9,831m13,166m
Net income--------
609m1,073m-828m2,076m1,573m1,805m-1,934m-209m
-319m-193m-232m-177m-166m-224m-1m-251m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


Important Information

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