Identification

Nome strumento
TIKEHAU CAPITAL
Ticker
TKO
Codice ISIN
FR0013230612
Mercato
Euronext
Borsa
Paris
Products family
Stocks
Comparto
Compartment A
ICB
Asset Managers
Indirizzo web
http://www.tikehaucapital.com

Operation

Data IPO
Mar 07/03/2017
Prezzo IPO
EUR 21.00
Tipologia IPO
Direct listing
Categoria
IPO

Profilo società

Tikehau Capital is an asset management and investment group which manages c. EUR 43.2 billion of assets and has 3.2 billion of shareholders’ equity at the end of 31/12/2023. The group invests in various asset classes (private debt, real estate, private equity, and liquid strategies), including through Tikehau IM (an asset management subsidiary that operates on behalf of institutional and private shareholders). Controlled by its managers alongside first-tier institutional partners, Tikehau Capital has 758 employees in offices in Paris, London, Brussels, Madrid, Milan, Seoul, Singapore, New York, Tokyo, Luxembourg, Amsterdam, Frankfurt, Tel Aviv and Zurich.

Fonte: Cofisem - Ultimo aggiornamento: 19 Nov 2024
Dirigenti principali
Co-Managing Director Mathieu Chabran
Co-Managing Director Antoine Flamarion
Deputy General Manager Thomas Friedberger
Deputy General Manager Frédéric Giovansili
Deputy General Manager Henri Marcoux
Chief Financial Officer Vincent Picot
Chief Operating Officer Arnaud Attia
Chief Human Resources Officer Emmanuelle Costa
Information Systems Director Bertrand Honoré
Chief Strategy and Development Officer Louis Igonet
Head of Investor Relations Louis Igonet
Chief Communication Officer Grégoire Lucas
Company Secretary Geoffroy Renard
Fonte: Cofisem - Ultimo aggiornamento: 19 Nov 2024
Dati principali
Millenium 2023 2022 2021 2020 2019
Income from portfolio management 179.185 298.447 386.872 84.913 89.048
Cash management income 322.318 303.934 282.793 204.827 363.540
Net sales
Income from real estate investment
Other income from the activity
Income from ordinary activities 501.503 602.381 669.665 289.740 452.588
Operating income 231.961 371.594 467.894 107.542 252.476
Cost of financial indebtedness net 39.692 -379 24.771 36.165 20.929
Equity-accounted companies contribution to income -304 733 604 -1.245 -239
Net profit from discontinued activities
Net income 176.576 320.435 319.759 -168.103 179.235
Net income (Group share) 176.674 320.166 318.653 -168.584 178.685
Fiscal year end 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31
Length of fiscal year (month) 12 12 12 12 12
Currency & Unit EUR - thousands EUR - thousands EUR - thousands EUR - thousands EUR - thousands
Account Standards IFRS IFRS IFRS IFRS IFRS
Fonte: Cofisem - Ultimo aggiornamento: 19 Nov 2024
Informazioni sull’azionariato
Other shareholders 14,30 %
Carac 2,50 %
Crédit Mutuel Arkéa 3,00 %
Esta Investments Pte. Ltd 4,50 %
Fonds Stratégique de Participations 6,90 %
Macif 1,90 %
MACSF Epargne Retraite 7,00 %
Neuflize Vie 1,30 %
Peugeot Invest Assets 1,60 %
Suravenir 1,60 %
Tikehau Capital Advisors SAS 53,30 %
Tikehau Management 1,40 %
Fonte: Cofisem - Ultimo aggiornamento: 19 Nov 2024