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Pin to quick picksSt James's Place Regulatory News (STJ)

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Q1 New Business Inflows and Funds under Management

24 Apr 2018 07:00

RNS Number : 8325L
St. James's Place PLC
24 April 2018
 

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ST. JAMES'S PLACE plc

27 St. James's Place, London SW1A 1NR

Telephone 020 7493 8111 Facsimile 020 7493 2382

 

PRESS RELEASE

24 April 2018

 

ST. JAMES'S PLACE WEALTH MANAGEMENT

 

STRONG NEW BUSINESS PERFORMANCE AND EXCELLENT RETENTION

DRIVE NET INFLOWS 31% HIGHER

 

St. James's Place plc ("SJP"), the wealth management group, today issues an update on new business inflows and funds under management for the three months ended 31 March 2018.

 

Gross inflow of funds of £3.91 billion (2017: £3.23 billion)

Continued strong retention of client funds - 96%

Net inflow of funds of £2.60 billion (2017: £1.99 billion)

Group funds under management of £89.91 billion (2017: £79.84 billion)

 

 

Andrew Croft, Chief Executive, commented:

 

"After a record year for new business in 2017, we have maintained momentum in the first quarter of 2018. Gross inflows of £3.91 billion in the quarter were 21% higher than the prior year, while net inflows of £2.60 billion were 31% higher, reflecting the continuing excellent retention of existing client investments. Weaker investment markets resulted in funds under management closing at £89.91 billion, marginally lower over the three months but still up strongly over the past year.

 

We continue to see a growing market for trusted face-to-face financial advice and believe St. James's Place remains ideally placed to meet this need. This growing market, together with the strong start we have made to 2018, reinforces our confidence in our ability to achieve our stated objective of 15-20% growth in gross inflows during 2018 and beyond."

 

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The details of the announcement are attached.

 

Enquiries:

 

Andrew Croft, Chief Executive Officer

Tel: 020 7514 1963

Craig Gentle, Chief Financial Officer

Tel: 020 7514 1963

Tony Dunk, Investor Relations Director

Tel: 020 7514 1963

Brunswick Group

Tel: 020 7404 5959

Charles Pretzlik

Email: cpretzlik@brunswickgroup.com

Tom Burns

Email: tburns@brunswickgroup.com

 

 

 

Contents

 

1. Funds under management

2. Analysis of funds under management

3. Gross inflow figures

4. EEV net asset value per share

 

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1. Funds under Management

 

Three Months Ended 31 March 2018

Investment

Pension

UT/ISA & DFM

Total

£'Billion

£'Billion

£'Billion

£'Billion

Opening funds under management

28.31 

36.15 

26.29 

90.75 

Gross inflows

0.60 

2.17 

1.14 

3.91 

Net investment return

(0.97)

(1.36)

(1.11)

(3.44)

Regular income withdrawals and maturities

(0.16)

(0.29)

(0.45)

Surrenders and part surrenders

(0.21)

(0.26)

(0.39)

(0.86)

Closing funds under management

27.57 

36.41 

25.93 

89.91 

Net inflows

0.23 

1.62 

0.75 

2.60 

Implied surrender rate as a percentage of average funds under management

3.0%

2.9%

6.0%

3.8%

 

Included within "UT/ISA & DFM" are closing funds under management of £2.09 billion, gross inflows of £0.11 billion and outflows of £0.02 billion in relation to the Rowan Dartington Group funds under management.

 

Three Months Ended 31 March 2017

Investment

Pension

UT/ISA & DFM

Total

£'Billion

£'Billion

£'Billion

£'Billion

Opening funds under management

25.88 

28.25 

21.18 

75.31 

Gross inflows

0.58 

1.47 

1.18 

3.23 

Net investment return

0.82 

1.17 

0.82 

2.81 

Regular income withdrawals and maturities

(0.14)

(0.23)

(0.37)

Surrenders and part surrenders

(0.27)

(0.22)

(0.38)

(0.87)

Matching strategy disinvestment

(0.13)

(0.14)

(0.27)

Closing funds under management

26.74 

30.30 

22.80 

79.84 

Net inflows

0.17 

1.02 

0.80 

1.99 

Implied surrender rate as a percentage of average funds under management

4.1%

3.0%

6.9%

4.5%

 

Included within "UT/ISA & DFM" are closing funds under management of £1.71 billion, gross inflows of £0.09 billion and outflows of £0.02 billion in relation to the Rowan Dartington Group funds under management.

 

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2. Analysis of Funds under Management

 

The following table provides an analysis of the funds under management at 31 March 2018 split by geography and asset type:

 

31 March 2018

31 March 2017

£'Billion

% of total

£'Billion

% of total

North American Equities

19.1

21%

18.3

23%

UK Equities

18.5

21%

18.3

23%

Fixed Interest

17.9

20%

13.7

17%

European Equities

10.2

12%

9.1

12%

Asia & Pacific Equities

8.2

9%

6.6

8%

Cash

6.5

7%

5.9

7%

Property

3.0

3%

2.6

3%

Alternative Investments

2.7

3%

2.1

3%

Other

3.8

4%

3.2

4%

Total

89.9

100%

79.8 

100%

 

3. Gross Inflow Figures

 

Unaudited

3 Months to

31 March

2018

2017

£'Billion

£'Billion

Gross inflows

Investment

0.60

0.58

+3%

Pension

2.17

1.47

+48%

Unit Trust/ISA & DFM

1.14

1.18

-3%

3.91

3.23

+21%

 

4. EEV Net Asset Value per Share

 

The net asset value on the European Embedded Value basis at 31 March 2018 was approximately 1,060 pence per share (cum div) and 1,035 pence per share after the payment of the proposed full year dividend on 1 June 2018.

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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