Investor Presentaiton
Macquarie | Presentation to Investors and Analysts I macquarie.com
Overview of Macquarie
Operating Groups
3Q20 Update
Outlook
Appendix
Macquarie Asset Management
Actively manages funds for investors across multiple asset classes
Net Profit Contribution 1,2 ($Am)
Base Fees2 ($Am)
AUM ($Ab)
O
MACQUARIE
1,778
1,800
600.0
587.5
2,000
1,872
1,600
1,536
1,535
1,568
1,800
1,644
1,685
1,538
1,600
1,400
550.0
542.7
1,400
1,200
1,200
1,122
1,000
1,000
800
950
495.1
500.0
484.0
480.0
476.9
800
600
600
450.0
400
400
200
200
0
400.0
FY16
FY17
FY18
FY19
FY20
FY16
FY17
FY18
FY19
FY20
Mar 15
Mar 16
Mar 17
Mar 18
Mar-19
Dec-19
1H
2H
1. Net profit contribution is management accounting profit before unallocated corporate costs, profit share and income tax. 2. Numbers as reported at half year results announcement on 1 Nov 19 and have not been restated prior to FY19 for business reorganisations affecting Macquarie Asset Management,
Corporate and Asset Finance, Commodities and Global Markets and Macquarie Capital that have occurred since 3 May 19.
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