FRANKLIN RESOURCES INCBEN

Market cap
$11.4B
P/E ratio
Sep 30,
2010
Sep 30,
2011
Sep 30,
2012
Sep 30,
2013
Sep 30,
2014
Sep 30,
2015
Sep 30,
2016
Sep 30,
2017
Sep 30,
2018
Sep 30,
2019
Sep 30,
2020
Sep 30,
2021
Sep 30,
2022
Sep 30,
2023
Sep 30,
2024
Net Income1,4511,8211,9162,1712,4122,1051,7581,7907431,2067872,0951,3331,103608
Stock-based compensation8289101113128140132123118112122172208183246
Amortization of deferred sales commissions189--138128113757281868078655062
Depreciation and other amortization----------757996104117
Amortization of intangible assets---------1554232282341338
Impairment of intangible asset----------30-3-389
Net (gains) losses on investments-----------76-754058
Income from investments in equity method investees20-1697468-635710844-10-9815436123138
Net losses on investments of consolidated investment products---------8-26-37316-95-120-25
Net purchase of investments by consolidated investment products---------1,498747781356829520
Deferred income taxes-12-316------51-1-749842-125
Other----4-6-17-208-34-2526-16-25-123-172
Increase in receivables and other assets123230223268114-45111619034-1361838763112
Decrease (increase) in investments, net1435185786680-23-120-13039-142-555-134-3-9
Increase in accrued compensation and benefits12273-34624-17-7737-1989-1011528212987
Decrease in income taxes payable9433-75501620-1445965-210-123-12-180-1-93
Increase (Decrease) in Other Operating Liabilities332634167-16-1852-23126-97-8965-44
Increase (Decrease) In Other Operating Liabilities Of Consolidated Investment Products--------61077162-52-40
Net cash provided by operating activities1,6511,6221,0662,0362,1382,2521,7281,1352,2302021,0211,2451,9571,139971
Purchase of investments675458-2473163032973683733583944677709267581,128
Liquidation of investments6025898325895844064053452863438805941,0266371,407
Purchase of investments by consolidated collateralized loan obligations----------3693,6553,9924,3646,310
Payments of deferred consideration liability-------------242535
Liquidation of investments by consolidated collateralized loan obligations----------921,6241,9491,8344,251
Additions of property and equipment, net57132-7862536998751072341047990149177
Acquisitions, net of cash acquired (including $281.4 in cash and cash equivalents of consolidated investment products in fiscal year 2024)-111--1---14876843,82191,355501-175
Payments of contingent consideration asset-----------202010-
Net (deconsolidation) consolidation of investment products---------25-108587-38439-50107
Net cash used in investing activities-3343687323339124919252-290-1,077-3,243-2,616-3,329-3,582-2,424
Issuance of common stock-----26242525232122252321
Dividends paid on common stock8842166638832906664094412,117519533560583607656
Repurchase of common stock6769547974916221,0601,3087651,425755218208181256274
Proceeds from repurchase agreement-------------1755
Payments on repurchase agreement--------------81
Payments on debt-------300362--750300300250
Proceeds from loan95220-------20-300--
Proceeds from debt of consolidated investment products---------206352,9384,8843,5404,347
Payments on debt by consolidated investment products--------2121411,3162,7461,1051,913
Payments on contingent consideration liabilities--------22201-15823
Noncontrolling interests68244212124446100-129021601,212432721200567240
Net cash provided by financing activities-595-968-1,085-2,018-1,195-1,612-1,801-956-3,762-401942,0301,5852,0291,416
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Continuing Operations-------------3443
Increase (decrease) in cash and cash equivalents-----------2,000657135-3807
Income Taxes Paid533762820826979925759712524521359498468233436
Cash paid for interest---------2719117133122113
Cash Interest Paid By Consolidated Investment Products--------3210103148379694