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Acadian Asset Management Inc. Stock Price History

Acadian Asset Management Inc. EPS

EPSDividend / share
0.02.85.68.311.1201720182019202020212022202320242025

Acadian Asset Management Inc. Dividend per Share

Forward Yield
0.51%
Annual Dividend
0.40 USD
Payout
5.53%
Frequency
Quarterly
Yrs of growth
1
CAGR 5Y
37.97%
0.00.10.20.30.4201520162017201820192020202120222023202420252026

Acadian Asset Management Inc. Dividend Yield

Acadian Asset Management Inc. Payout Ratio

0%236%473%709%945%201720182019202020212022202320242025

Acadian Asset Management Inc. Dividend Growth

1Y CAGR
3Y CAGR
5Y CAGR
10Y CAGR
20Y CAGR
400.00%
71.00%
37.97%
-4.59%
Compound annual growth rate of dividend per share
Yield vs sector
0.51%
avg Financial Services: 2.81%
Next ex-dividend (est.)
2026-09-11
last: 2026-06-12
Ex-DateAmount
2026-06-120.10 USD
2026-03-130.10 USD
2025-12-120.01 USD
2025-09-120.01 USD
2025-06-130.01 USD
2025-03-140.01 USD
2024-12-130.01 USD
2024-09-130.01 USD

Acadian Asset Management Inc. is a publicly traded holding company for Acadian Asset Management LLC, a global investment management firm headquartered in Boston, Massachusetts. The group focuses on providing institutional investors with systematic, quantitatively driven investment strategies across equity and multi-asset classes. Its services are designed for clients such as pension funds, sovereign wealth funds, endowments, foundations, and other professional asset owners seeking disciplined, data-based portfolio management. Through its operating subsidiaries, Acadian Asset Management Inc. delivers an array of mandates that may include long-only, long-short, and factor-based approaches, often tailored to specific risk and return profiles. The firm leverages extensive research, statistical modeling, and large-scale data processing to construct and manage portfolios in developed and emerging markets. Acadian Asset Management Inc. plays a specialized role in the asset management industry by concentrating on systematic, research-intensive solutions that integrate quantitative techniques with global market coverage for sophisticated institutional clients.