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Q1 New Business Inflows and Funds Under Management

27 Apr 2023 07:00

RNS Number : 6010X
St. James's Place PLC
27 April 2023
 

 

-1-

 

PRESS RELEASE

 

27 April 2023

 

ST. JAMES'S PLACE DELIVERS ANOTHER RESILIENT NEW BUSINESS PERFORMANCE

 

St. James's Place plc ('SJP') today issues an update on new business inflows and funds under management for the three months ended 31 March 2023.

 

Q1 2023

Q1 2022

 

£'Billion

£'Billion

 

Gross inflows

4.17

4.73

Net inflows

2.00

2.91

Closing funds under management

153.62

151.25

 

 

Funds under management retention rate (full year) 1

95.9%

96.6%

Net inflows/opening funds under management (full year)

5.4%

7.6%

1 Excluding regular income withdrawals and maturities

 

 

Andrew Croft, Chief Executive Officer, commented:

"I am pleased to announce another good quarter for St. James's Place, with our advisers attracting £4.17 billion of new client investments to the business. While lower versus a very strong first quarter outturn in 2022, these gross inflows represent growth against the final quarter of last year. Retention has remained strong, supporting a further £2.00 billion of net inflows and contributing to funds under management closing the period at £153.62 billion. This outcome for both gross and net flows is testament to the scale of ongoing demand for trusted face-to-face advice, the long-term nature of our client proposition and the strength of adviser-client relationships in all environments.

 

We have begun 2023 much as we expected, so if macroeconomic indicators and consumer sentiment show further signs of recovery, we continue to anticipate a more supportive environment for new business as 2023 unfolds."

 

The details of the announcement are attached.

 

-2-

 

Enquiries:

Hugh Taylor, Director - Investor Relations

Tel: 07818 075143

Jamie Dunkley, External Communications Director

Tel: 07779 999651

 

Brunswick Group:

 

Tel: 020 7404 5959

Eilis Murphy

Charles Pretzlik

Email: sjp@brunswickgroup.com  

 

 

 

Contents

 

1. Funds under management

2. Analysis of funds under management

3. EEV net asset value per share

 

 

1. Funds under management

 

Three months ended 31 March 2023

Investment

Pension

UT/ISA and DFM

Total

£'Billion

£'Billion

£'Billion

£'Billion

Opening FUM

33.29

73.86

41.22

148.37

Gross inflows

0.59

2.43

1.15

4.17

Net investment return

0.69

1.74

0.82

3.25

Regular income withdrawals and maturities

(0.14)

(0.47)

(0.61)

Surrenders and part-surrenders

(0.43)

(0.41)

(0.72)

(1.56)

Closing FUM

34.00

77.15

42.47

153.62

Net inflows

0.02

1.55

0.43

2.00

Implied surrender rate as a percentage of average FUM

5.1%

2.2%

6.9%

4.1%

 

Included in the table above is:

· Rowan Dartington Group FUM of £3.35 billion at 31 March 2023, gross inflows of £0.12 billion for the quarter and outflows of £0.05 billion.

· SJP Asia FUM of £1.53 billion at 31 March 2023, gross inflows of £0.04 billion for the quarter and outflows of £0.03 billion.

 

-3-

 

Three months ended 31 March 2022

Investment

Pension

UT/ISA and DFM

Total

£'Billion

£'Billion

£'Billion

£'Billion

Opening FUM

35.95 

74.83 

43.21 

153.99 

Gross inflows

0.63 

2.53 

1.57 

4.73 

Net investment return

(1.15)

(2.80)

(1.70)

(5.65)

Regular income withdrawals and maturities

(0.08)

(0.42)

(0.50)

Surrenders and part-surrenders

(0.38)

(0.39)

(0.55)

(1.32)

Closing FUM

34.97 

73.75 

42.53 

151.25 

Net inflows

0.17 

1.72 

1.02 

2.91 

Implied surrender rate as a percentage of average FUM

4.4%

2.0%

5.1%

3.4%

 

Included in the table above is:

· Rowan Dartington Group FUM of £3.42 billion at 31 March 2022, gross inflows of £0.13 billion for the quarter and outflows of £0.04 billion.

· SJP Asia FUM of £1.56 billion at 31 March 2022, gross inflows of £0.08 billion for the quarter and outflows of £0.02 billion.

 

 

2. Analysis of funds under management

 

The table below provides a geographical and investment-type analysis of FUM at 31 March.

 

31 March 2023

31 March 2022

£'Billion

Percentage

of total

£'Billion

Percentage

of total

North American equities

49.3

32%

45.9

30%

Fixed income securities

24.0

16%

25.2

17%

European equities

21.9

14%

19.7

13%

Asia and Pacific equities

18.9

12%

17.2

11%

UK equities

16.4

11%

20.5

13%

Alternative investments

12.4

8%

11.8

8%

Cash

5.6

4%

5.5

4%

Other

3.0

2%

2.8

2%

Property

2.1

1%

2.7

2%

Total

153.6

100%

151.3

100%

 

 

3. EEV net asset value per share

 

The net asset value on the European Embedded Value basis at 31 March 2023 was approximately £17.16 per share (cum div) and approximately £16.79 per share after the payment of the proposed full year dividend on 31 May 2023.

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.
 
END
 
 
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