Acadian Asset Management (AAMI)

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Stock profile
Acadian Asset Management logo

Acadian Asset Management (AAMI)

Country: United States of AmericaSector: Financial ServicesIndustry: Asset ManagementExchange: NYSE
P/E TTM
33.1
History
P/E NTM
17.4
Market cap
3.32B
Currency USD
KvantraRankAbout63
IValue18
IIQuality89
IIIMomentum100
Current price
93.79 USD-0.10%
Benchmarks

No price history available.

Key financial summary

Financials in USD
202020212022202320242025TTM2026E
Total revenue$m500524417427506594706783
Operating profit$m163196
Net profit$m287828101668580101194
EPS reported$2.212.83
Operating cashflow per share$5.321.67
Capex per share$0.330.45
FCF per share$4.991.22
Free cash flow$m18144
Net debt$m160135
Book value equity$m6192
Book value per share$1.672.58
Number of sharesm36.235.7
DPS (TTM paid)$0.040.31

Financial summary

Financials in USD
202020212022202320242025TTM2026E
Value
P/E TTMx21.2733.14
P/B LTMx28.0818.49
P/S LTMx2.862.41
P/FCF LTMx9.4239.11
EV/EBITDA LTMx10.609.71
EV/Sales LTMx3.244.99
Earnings Yield LTM%+4.70%+3.02%
FCF Yield%+10.62%+2.56%
Quality
ROE%+132.01%+161.92%
ROIC%+23.77%+24.60%
Operating margin%+27.38%+27.77%
Gross margin%+92.88%+1.13%
FCF/Sales%+30.41%+6.16%
Growth and momentum
EPS Growth YoY%-0.45%+27.48%
Sales Growth YoY%+17.54%+39.72%
Net Income Growth YoY%-5.88%+19.29%
FCF Growth%+293.68%-5.23%
Operating Profit Growth%+20.07%+44.80%
Dividend and capital structure
Dividend Yield%+0.09%+0.24%
Dividend Growth%0.00%+675.00%
Payout Ratio%+1.88%+7.80%
FCF/Debtx0.560.17
Net Debt/EBITDAx1.220.97
EBIT/Net interestx7.5010.55
Net debt/market cap%+15.36%+6.00%
Net debt/Equityx2.641.47
Gross debt/equityx5.332.80

Price target estimates

Low estimate
High estimate
Price consensus
Last year average price target
Current price93.79 USD
Return Potential

Based on consensus from external analysts. Not Kvantra's opinion.

Ratings

Strong Buy
Buy
Hold
Sell
Strong Sell
Number of covering analysts

Based on consensus from external analysts. Not Kvantra's opinion.

ESG

Metric202420252026
ESG-score
Environmental score
Social score
Governance score
Risk rating

Company overview

Acadian Asset Management, Inc. functions as a holding entity that primarily offers asset management services. The company's operations are structured around its "Quant and Solutions" segment. This division applies a sophisticated, data-driven investment approach, leveraging advanced technology in a computational, factor-based process. This methodology is deployed across a broad spectrum of asset classes and geographical areas, encompassing global, international (non-U.S.), and emerging market equities, alongside managed volatility strategies and various multi-asset financial products. Established in 1980, the firm's main offices are situated in Boston, Massachusetts.

SectorFinancial Services
IndustryAsset Management
CountryUnited States of America
Trades inUSD

Similar companies

For informational purposes only. Kvantra provides data and quantitative analysis, not investment advice. KvantraRank is a mechanical model output. Analyst price targets and ratings are sourced from third parties and are not Kvantra recommendations. Past performance does not guarantee future results; all investments carry risk.

Acadian Asset Management (AAMI)

AAMI · NYSE · Financial Services
93.79 USD-0.10%
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No price history available.

KvantraRank63
Market cap3.32B
P/E NTM17.4
P/E TTM33.1
KvantraRank?63 / 100
Value
18
Quality
89
Momentum
100
Financialsin USD
20242025TTM2026E
Analyst target
Consensus
Current93.79 USD
Upside
Price consensus
Last year average price target
Current price93.79 USD
Return Potential

Consensus from external analysts. Not Kvantra's opinion.

Ratings
Strong Buy
Buy
Hold
Sell
Strong Sell

Based on consensus from external analysts. Not Kvantra's opinion.

ESG
202420252026
ESG-score
Environmental score
Social score
Governance score
Risk rating
About

Acadian Asset Management, Inc. functions as a holding entity that primarily offers asset management services. The company's operations are structured around its "Quant and Solutions" segment. This division applies a sophisticated, data-driven investment approach, leveraging advanced technology in a computational, factor-based process. This methodology is deployed across a broad spectrum of asset classes and geographical areas, encompassing global, international (non-U.S.), and emerging market equities, alongside managed volatility strategies and various multi-asset financial products. Established in 1980, the firm's main offices are situated in Boston, Massachusetts.

SectorFinancial Services
IndustryAsset Management
CountryUnited States of America
Trades inUSD

For informational purposes only. Kvantra provides data and quantitative analysis, not investment advice. KvantraRank is a mechanical model output. Analyst price targets and ratings are sourced from third parties and are not Kvantra recommendations. Past performance does not guarantee future results; all investments carry risk.

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