av/brightsphere-investment--big.svg

NYSE:BSIG

BrightSphere Investment Group Inc.

  • Stock

USD

Last Close

23.46

17/05 20:00

Market Cap

921.48M

Beta: 1.62

Volume Today

321.09K

Avg: 143.06K

PE Ratio

11.75

PFCF: 13.26

Dividend Yield

0.19%

Payout:3.95%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-96.50M
-
-43.80M
54.61%
155.50M
455.02%
126.20M
18.84%
9.10M
92.79%
130.30M
1,331.87%
240M
84.19%
315.50M
31.46%
896.40M
184.12%
100.60M
88.78%
65.80M
34.59%
depreciation and amortization
5M
-
6.20M
24%
7.10M
14.52%
12M
69.01%
18.30M
52.50%
21.10M
15.30%
23.80M
12.80%
27.70M
16.39%
22.20M
19.86%
18.60M
16.22%
17.30M
6.99%
deferred income tax
10.30M
-
-35.30M
442.72%
-11.10M
68.56%
13.30M
219.82%
39.20M
194.74%
-44.80M
214.29%
25.80M
157.59%
72.70M
181.78%
-1.50M
102.06%
6.40M
526.67%
-6M
193.75%
stock based compensation
133.50M
-
99.50M
25.47%
-6.20M
106.23%
9.10M
246.77%
-42.10M
562.64%
-41.30M
1.90%
-47.90M
15.98%
-264.10M
451.36%
-10M
96.21%
-30.30M
203.00%
-55.50M
83.17%
change in working capital
33.60M
-
16.70M
50.30%
64.70M
287.43%
-63.10M
197.53%
5.50M
108.72%
-13.10M
338.18%
-332.70M
2,439.69%
-5.70M
98.29%
-194M
3,303.51%
9.40M
104.85%
-8.80M
193.62%
accounts receivables
-75.20M
-
-2.40M
96.81%
12.80M
633.33%
-3.20M
125%
-45.50M
1,321.88%
35.40M
177.80%
14.60M
58.76%
-18.70M
228.08%
-87.90M
370.05%
42.20M
148.01%
-20.90M
149.53%
inventory
-3.60M
-
-28.50M
691.67%
-1.40M
95.09%
-17.60M
1,157.14%
-31.60M
79.55%
21.90M
169.30%
-24.40M
211.42%
17.80M
172.95%
-5.20M
-
accounts payables
86.60M
-
99.30M
14.67%
37.90M
61.83%
-28.30M
174.67%
17.40M
161.48%
-33.10M
290.23%
-58M
75.23%
1.20M
102.07%
-153M
12,850%
2.70M
101.76%
5.20M
92.59%
other working capital
25.80M
-
-51.70M
300.39%
15.40M
129.79%
-14M
190.91%
65.20M
565.71%
-37.30M
157.21%
-264.90M
610.19%
-6M
97.73%
46.90M
881.67%
-35.50M
175.69%
12.10M
134.08%
other non cash items
58.60M
-
110.80M
89.08%
43.60M
60.65%
40.20M
7.80%
195.50M
386.32%
202M
3.32%
-47.50M
123.51%
-55.60M
17.05%
-724.60M
1,203.24%
12.10M
101.67%
61.60M
409.09%
net cash provided by operating activities
144.50M
-
154.10M
6.64%
253.60M
64.57%
137.70M
45.70%
225.50M
63.76%
254.20M
12.73%
-138.50M
154.48%
90.50M
165.34%
-11.50M
112.71%
116.80M
1,115.65%
74.40M
36.30%
investments in property plant and equipment
-9.90M
-
-7.60M
23.23%
-13M
71.05%
-13.50M
3.85%
-13.70M
1.48%
-21.70M
58.39%
-33.90M
56.22%
-27.20M
19.76%
-15.10M
44.49%
-16.10M
6.62%
-13.80M
14.29%
acquisitions net
-181M
-
-14.80M
91.82%
-600K
95.95%
-219.10M
36,416.67%
-1.90M
99.13%
105M
5,626.32%
-7.60M
107.24%
291M
3,928.95%
61.60M
78.83%
-3.10M
105.03%
purchases of investments
-207.30M
-
-128.10M
38.21%
-160.60M
25.37%
-76.10M
52.62%
-164.60M
116.29%
-394.40M
139.61%
-26.50M
93.28%
-104.90M
295.85%
-2.50M
97.62%
-5.50M
120%
-45.50M
727.27%
sales maturities of investments
348.40M
-
113M
67.57%
18.50M
83.63%
24.50M
32.43%
149.20M
508.98%
269.40M
80.56%
73.10M
72.87%
109.80M
50.21%
42.70M
61.11%
8.60M
79.86%
31.70M
268.60%
other investing activites
-48M
-
24.40M
150.83%
3.90M
-
1.30M
66.67%
952.40M
73,161.54%
3.10M
99.67%
-12.50M
503.23%
net cash used for investing activites
-97.80M
-
-13.10M
86.61%
-155.70M
1,088.55%
-284.20M
82.53%
-31M
89.09%
-41.70M
34.52%
9M
121.58%
270M
2,900%
1.04B
284.85%
-13M
101.25%
-40.10M
208.46%
debt repayment
-134.60M
-
-41.70M
69.02%
-124M
197.36%
-148M
19.35%
-42.50M
71.28%
-53M
24.71%
-330M
522.64%
-255M
22.73%
-176M
30.98%
-340.10M
93.24%
-113.90M
66.51%
common stock issued
450.10M
-
76M
83.11%
15M
80.26%
505M
3,266.67%
80M
84.16%
2.70M
96.63%
113.90M
-
common stock repurchased
-98.60M
-
-74.10M
24.85%
-71.20M
3.91%
-239.80M
236.80%
-46M
80.82%
-1.12B
2,338.48%
-103.20M
90.80%
-3.30M
96.80%
dividends paid
-175M
-
-38.70M
77.89%
-38.50M
0.52%
-38.80M
0.78%
-42.50M
9.54%
-36M
15.29%
-10.90M
69.72%
-2.90M
73.39%
-1.20M
58.62%
-2M
66.67%
other financing activites
103.10M
-
64.20M
37.73%
-67.90M
205.76%
-52.10M
23.27%
-17M
67.37%
84.30M
595.88%
5.80M
93.12%
154.50M
2,563.79%
118.30M
23.43%
210.80M
78.19%
-2.80M
101.33%
net cash used provided by financing activities
-31.50M
-
-152.50M
384.13%
-230.60M
51.21%
112.90M
148.96%
-96.40M
185.39%
-67.40M
30.08%
-95M
40.95%
-77.40M
18.53%
-1.18B
1,424.03%
-233.70M
80.19%
-8.10M
96.53%
effect of forex changes on cash
-1.60M
-
-2.10M
31.25%
31.20M
-
-1M
103.21%
200K
120%
net change in cash
13.60M
-
-13.60M
200%
-132.70M
875.74%
-33.60M
74.68%
98.10M
391.96%
145.10M
47.91%
-224.50M
254.72%
283.10M
226.10%
-120.80M
142.67%
-130.90M
8.36%
26.40M
120.17%
cash at beginning of period
268.60M
-
282.20M
5.06%
268.60M
4.82%
135.90M
49.40%
102.30M
24.72%
200.40M
95.89%
345.50M
72.41%
121M
64.98%
372.90M
208.18%
252.10M
32.39%
121.20M
51.92%
cash at end of period
282.20M
-
268.60M
4.82%
135.90M
49.40%
102.30M
24.72%
200.40M
95.89%
345.50M
72.41%
121M
64.98%
404.10M
233.97%
252.10M
37.61%
121.20M
51.92%
147.60M
21.78%
operating cash flow
144.50M
-
154.10M
6.64%
253.60M
64.57%
137.70M
45.70%
225.50M
63.76%
254.20M
12.73%
-138.50M
154.48%
90.50M
165.34%
-11.50M
112.71%
116.80M
1,115.65%
74.40M
36.30%
capital expenditure
-9.90M
-
-7.60M
23.23%
-13M
71.05%
-13.50M
3.85%
-13.70M
1.48%
-21.70M
58.39%
-33.90M
56.22%
-27.20M
19.76%
-15.10M
44.49%
-16.10M
6.62%
-13.80M
14.29%
free cash flow
134.60M
-
146.50M
8.84%
240.60M
64.23%
124.20M
48.38%
211.80M
70.53%
232.50M
9.77%
-172.40M
174.15%
63.30M
136.72%
-26.60M
142.02%
100.70M
478.57%
60.60M
39.82%

All numbers in USD (except ratios and percentages)