FRANKLIN RESOURCES INCBEN

Market cap
$11B
P/E ratio
12.4x
Sep 30,
2010
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
Net Income1,4511,9162,1712,4122,1051,7581,7907431,2067872,0951,3331,103
Stock-based compensation82101113128140132123118112122172208183
Amortization of deferred sales commissions189-1381281137572818680786550
Depreciation and other amortization---------757996104
Amortization of intangible assets--------1554232282341
Goodwill and Intangible Asset Impairment---------55---
Net (gains) losses on investments----------76-7540
Net (gains) losses on investments----------76-7540
Income from investments in equity method investees20697468-635710844-10-9815436123
Income from investments in equity method investees20697468-635710844-10-9815436123
Net losses (gains) on investments of consolidated investment products--------8-26-37316-95-120
Net losses (gains) on investments of consolidated investment products--------8-26-37316-95-120
Net purchase of investments by consolidated investment products--------1,498747781356829
Net purchase of investments by consolidated investment products--------1,498747781356829
Deferred income taxes-1216------51-1-749842
Deferred income taxes-1216------51-1-749842
Other---4-6-17-208-34-2526-16-25-123
Other---4-6-17-208-34-2526-16-25-123
Increase in receivables and other assets123223268114-45111619034-1361838763
Decrease (increase) in investments, net1435786680-23-120-13039-142-555-134-3
Increase in accrued compensation and benefits122-34624-17-7737-1989-10115282129
Decrease in income taxes payable94-75501620-1445965-210-123-12-180-1
Increase (Decrease) in Other Operating Liabilities3334167-16-1852-23126-97-8965-4
Increase (Decrease) In Other Operating Liabilities Of Consolidated Investment Products-------61077162-52
Increase in receivables and other assets123223268114-45111619034-1361838763
Decrease (increase) in investments, net1435786680-23-120-13039-142-555-134-3
Increase in accrued compensation and benefits122-34624-17-7737-1989-10115282129
Decrease in income taxes payable94-75501620-1445965-210-123-12-180-1
Increase (Decrease) in Other Operating Liabilities3334167-16-1852-23126-97-8965-4
Increase (Decrease) In Other Operating Liabilities Of Consolidated Investment Products-------61077162-52
Net cash provided by operating activities1,6511,0662,0362,1382,2521,7281,1352,2302021,0211,2451,9571,139
Purchase of investments675-247316303297368373358394467770926758
Liquidation of investments6028325895844064053452863438805941,026637
Purchase of investments by consolidated collateralized loan obligations---------3693,6553,9924,364
Liquidation of investments by consolidated collateralized loan obligations---------921,6241,9491,834
Payments of deferred consideration liability------------242
Decrease in loan receivables, net----------4143--
Liquidation of investments by consolidated collateralized loan obligations---------921,6241,9491,834
Additions of property and equipment, net57-7862536998751072341047990149
Decrease in loan receivables, net----------4143--
Acquisitions, net of cash acquired---1---14876843,82191,355501
Additions of property and equipment, net57-7862536998751072341047990149
Payments of contingent consideration asset----------202010
Acquisitions, net of cash acquired---1---14876843,82191,355501
Net (deconsolidation) consolidation of investment products--------25-108587-38439-50
Payments of contingent consideration asset----------202010
Net cash used in investing activities-3387323339124919252-290-1,077-3,243-2,616-3,329-3,582
Net (deconsolidation) consolidation of investment products--------25-108587-38439-50
Net cash used in investing activities-3387323339124919252-290-1,077-3,243-2,616-3,329-3,582
Issuance of common stock----262425252321222523
Dividends paid on common stock8846638832906664094412,117519533560583607
Repurchase of common stock6767974916221,0601,3087651,425755218208181256
Proceeds from issuance of debt----------1,194--
Proceeds from repurchase agreement------------175
Payment of debt issuance costs----------12--
Proceeds from issuance of debt----------1,194--
Payments on debt------300362--750300300
Payment of debt issuance costs----------12--
Proceeds from loan952-------20-300-
Payments on debt------300362--750300300
Payments on loan-----4154-20---
Proceeds from loan952-------20-300-
Proceeds from debt of consolidated investment products--------206352,9384,8843,540
Payments on debt by consolidated investment products-------2121411,3162,7461,105
Payments on contingent consideration liabilities-------22201-158
Noncontrolling interests68212124446100-129021601,212432721200567
Net cash provided by financing activities-595-1,085-2,018-1,195-1,612-1,801-956-3,762-401942,0301,5852,029
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Continuing Operations------------34
Effect of Exchange Rate on Cash and Cash Equivalents-4-221-60-117-435-17-3727-2-77-
Increase (decrease) in cash and cash equivalents----------2,000657135-380
Increase (decrease) in cash and cash equivalents----------2,000657135-380
Income Taxes Paid533820826979925759712524521359498468233
Cash paid for interest--------2719117133122
Cash Interest Paid By Consolidated Investment Products-------3210103148379
Income Taxes Paid533820826979925759712524521359498468233
Cash paid for interest--------2719117133122
Cash Interest Paid By Consolidated Investment Products-------3210103148379