Ninety One PLC
LSE:N91
Net Margin
Net Margin shows how much profit a company keeps from each dollar of sales after all expenses, including taxes and interest. It reflects the company`s overall profitability.
Net Margin shows how much profit a company keeps from each dollar of sales after all expenses, including taxes and interest. It reflects the company`s overall profitability.
Peer Comparison
| Country | Company | Market Cap |
Net Margin |
||
|---|---|---|---|---|---|
| UK |
N
|
Ninety One PLC
LSE:N91
|
4.4B GBP |
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|
|
| US |
|
BlackRock Inc
NYSE:BLK
|
168.1B USD |
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|
|
| US |
|
Blackstone Inc
NYSE:BX
|
161.8B USD |
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|
|
| CA |
|
Brookfield Corp
NYSE:BN
|
115.9B USD |
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|
|
| US |
|
KKR & Co Inc
NYSE:KKR
|
94B USD |
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|
|
| ZA |
N
|
Ninety One Ltd
JSE:NY1
|
91B ZAR |
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|
|
| US |
|
BROOKFIELD ASSET MANAGEMENT LTD
F:RW5
|
71.9B EUR |
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|
|
| US |
|
Bank of New York Mellon Corp
NYSE:BK
|
84.7B USD |
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|
|
| CA |
|
Brookfield Asset Management Inc
NYSE:BAM
|
84.6B USD |
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|
|
| CA |
B
|
BROOKFIELD ASSET MANAGEMENT LTD
TSX:BAM
|
114.6B CAD |
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|
|
| UK |
|
3i Group PLC
LSE:III
|
33.4B GBP |
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|
Market Distribution
| Min | -188 120% |
| 30th Percentile | 0% |
| Median | 0% |
| 70th Percentile | 0.1% |
| Max | 10 443.9% |
Other Profitability Ratios
Ninety One PLC
Glance View
Ninety One PLC, originally branded as Investec Asset Management, embarked on a transformative journey, reshaping itself into a standalone entity with a distinct identity. This strategic pivot, which culminated in the firm’s official rebranding and de-merger from Investec Group in 2020, was a calculated move designed to sharpen its focus on managing investments. Headquartered in London and Cape Town, Ninety One operates globally, drawing on its rich heritage and expertise amassed since its inception in 1991. Its evolution reflects a deep commitment to providing innovative investment solutions tailored to meet the varying needs of institutions, advisors, and individual clients. The firm strives to harness its understanding of diverse and complex markets, nurturing a robust network that spans across developed and emerging economies alike. The core of Ninety One’s business model lies in its ability to generate revenue through management and performance fees associated with a wide array of investment products. This includes equity, fixed income, and multi-asset portfolios, alongside strategic thematic offerings that cater to shifting market dynamics and investor preferences. The firm operates by collecting fees based on the assets under management (AUM) and incentivizes exceptional portfolio performance with additional fees when benchmarks are surpassed. Through this fee structure, Ninety One is able to sustain its operations and continuous growth, aligning its interests with those of its clients. This alignment fosters trust and long-lasting relationships, underpinning the company's ethos of championing active engagement and delivering consistent value in the ever-evolving landscape of global finance.
See Also
Net Margin is calculated by dividing the Net Income by the Revenue.
The current Net Margin for Ninety One PLC is 22.1%, which is below its 3-year median of 22.3%.
Over the last 3 years, Ninety One PLC’s Net Margin has decreased from 24.1% to 22.1%. During this period, it reached a low of 21.4% on Mar 31, 2025 and a high of 24.1% on Sep 30, 2022.