Jones Lang LaSalle, Inc. engages in the provision of commercial real estate and investment management services. It operates through the following segments: Market Advisory, Capital Markets, Work Dynamics, JLL Technologies, and LaSalle. The Markets Advisory segment offers real estate services such as agency leasing and tenant representation, property management, advisory, and consulting services. The Capital Markets segment is composed of investment sales, debt and equity advisory, value and risk advisory, and loan servicing. The Work Dynamics segment provides services to occupiers of real estate, including facility and project management, as well as portfolio and other services. The JLL Technologies segment refers to software products, solutions, and services. The LaSalle segment focuses on investment management services on a global basis to institutional investors and individuals. The company was founded by Richard Winstanley in 1997 and is headquartered in Chicago, IL.
Current Value
$238.961 Year Return
Current Value
$238.961 Year Return
Market Cap
$11.66B
P/E Ratio
21.8
1Y Stock Return
30.06%
1Y Revenue Growth
12.87%
Dividend Yield
0.00%
Price to Book
1.7
Double maintains 4 strategies that include JLL - Jones Lang LaSalle, Inc.
High risk
$3,900
0.68%This ETF follower concentrates primarily on real estate equity and is market-cap weighted for companies involved in the ownership and operation of real estate in the United States.
Top Sector
Real Estate
Top Holdings
Bktd. Return
Expense Ratio
0.00%
Holdings
152
Medium risk
$33,000
0.02%This strategy tracks a market-cap-weighted index of the 1000-largest US companies. It offers broad exposure to the US equity market, encompassing a diverse range of sectors and industries. By investing in this fund, you gain access to the performance of large and well-established companies within the US economy.
Top Sector
Information Technology
Top Holdings
Bktd. Return
Expense Ratio
0.00%
Holdings
1001
Medium risk
$5,000
0.42%This strategy tracks a market-cap-weighted index of mid-cap US companies. This strategy offers targeted exposure to the growth potential of mid-sized businesses within the US market. With a diversified portfolio of holdings, it provides investors with a comprehensive approach to capturing the mid-cap segment's performance.
Top Sector
Industrials
Top Holdings
Bktd. Return
Expense Ratio
0.00%
Holdings
401
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
CBRE | 83.78% | $39.31B | +38.86% | 0.00% |
NMRK | 80.88% | $2.19B | +13.71% | 1.01% |
CWK | 80.10% | $2.33B | +0.89% | 0.00% |
CIGI | 71.73% | $6.22B | +3.45% | 0.24% |
MMI | 66.31% | $1.37B | +7.28% | 1.45% |
OC | 65.40% | $12.32B | -13.63% | 1.81% |
WD | 64.98% | $2.82B | -12.93% | 3.19% |
BN | 64.08% | $80.63B | +32.97% | 0.63% |
MAS | 63.83% | $14.80B | -9.51% | 1.70% |
AZEK | 63.81% | $6.96B | +0.19% | 0.00% |
HD | 63.73% | $363.34B | +0.69% | 2.49% |
TOL | 63.39% | $10.47B | -15.21% | 0.88% |
LOW | 62.05% | $130.98B | -4.27% | 1.96% |
TRU | 61.46% | $16.36B | +7.76% | 0.52% |
CRH | 60.75% | $60.22B | +5.28% | 0.42% |
PHM | 60.66% | $20.77B | -9.77% | 0.82% |
BAM | 60.13% | $81.05B | +20.64% | 3.24% |
BLD | 60.01% | $8.93B | -29.53% | 0.00% |
BCC | 59.66% | $3.75B | -31.05% | 0.85% |
BNT | 59.41% | $10.81B | +32.91% | 0.00% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
MO | -0.02% | $99.39B | +36.94% | 6.89% |
KDP | -0.03% | $47.45B | +13.10% | 2.58% |
AMED | -0.05% | $3.05B | +0.41% | 0.00% |
PGR | -0.12% | $166.65B | +35.36% | 1.73% |
DG | 0.16% | $19.27B | -43.44% | 2.68% |
TCTM | -0.17% | $3.80M | -81.33% | 0.00% |
FDP | -0.30% | $1.49B | +21.89% | 3.39% |
STNG | -0.34% | $1.90B | -47.52% | 4.21% |
COP | -0.45% | $133.96B | -19.35% | 2.99% |
BTU | 0.48% | $1.64B | -44.32% | 2.25% |
MVO | 0.48% | $63.94M | -50.31% | 23.82% |
NNVC | 0.50% | $18.14M | -8.66% | 0.00% |
CATO | 0.50% | $66.54M | -39.55% | 10.53% |
VZ | -0.51% | $191.04B | +6.68% | 5.93% |
HRZN | 0.62% | - | - | 13.94% |
HRL | -0.70% | $16.90B | -12.77% | 3.70% |
INSM | 0.79% | $13.03B | +173.76% | 0.00% |
BNED | 1.18% | $353.14M | -83.92% | 0.00% |
FLNG | 1.19% | $1.23B | -12.46% | 13.22% |
SJM | 1.24% | $12.61B | -3.69% | 3.62% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
CBOE | -13.67% | $23.56B | +23.21% | 1.08% |
KR | -13.67% | $49.31B | +17.85% | 1.83% |
HIHO | -9.01% | $8.01M | -14.15% | 6.59% |
MCK | -8.97% | $84.43B | +26.33% | 0.41% |
K | -8.22% | $28.48B | +43.06% | 2.75% |
CHD | -7.84% | $26.94B | +4.62% | 1.04% |
CME | -7.04% | $94.51B | +22.09% | 3.99% |
HSY | -6.81% | $34.36B | -15.42% | 3.22% |
COR | -6.74% | $53.79B | +14.12% | 0.76% |
CAG | -6.68% | $12.70B | -9.98% | 5.26% |
LITB | -6.63% | $41.37M | -43.18% | 0.00% |
GO | -6.38% | $1.35B | -50.25% | 0.00% |
SAVA | -6.00% | $66.66M | -93.00% | 0.00% |
PRPO | -5.54% | $8.50M | -12.81% | 0.00% |
CPB | -5.07% | $11.90B | -10.18% | 3.75% |
MNOV | -4.85% | $71.12M | -2.68% | 0.00% |
UTZ | -4.82% | $1.22B | -21.80% | 1.68% |
REYN | -4.82% | $5.02B | -16.97% | 3.85% |
GIS | -4.77% | $32.70B | -15.36% | 3.98% |
IMNN | -3.66% | $15.42M | -39.71% | 0.00% |
Name | Correlation | AUM | Expense Ratio |
---|---|---|---|
XHB | 68.12% | $1.37B | 0.35% |
ITB | 67.12% | $2.42B | 0.39% |
IWR | 66.86% | $38.28B | 0.19% |
JHMM | 66.65% | $3.88B | 0.42% |
FMDE | 66.27% | $2.45B | 0.23% |
SCHM | 65.47% | $10.69B | 0.04% |
VB | 65.43% | $59.17B | 0.05% |
TMSL | 65.39% | $654.29M | 0.55% |
IMCG | 65.09% | $2.49B | 0.06% |
XMHQ | 65.07% | $5.38B | 0.25% |
IWS | 65.07% | $13.28B | 0.23% |
IJK | 64.98% | $8.44B | 0.17% |
NUSC | 64.92% | $1.10B | 0.31% |
SMMD | 64.92% | $1.29B | 0.15% |
MDYG | 64.61% | $2.49B | 0.15% |
XMMO | 64.58% | $3.44B | 0.34% |
VXF | 64.54% | $20.01B | 0.05% |
MDY | 64.44% | $21.96B | 0.24% |
VBK | 64.38% | $17.43B | 0.07% |
IJH | 64.35% | $89.46B | 0.05% |
Name | Correlation | AUM | Expense Ratio |
---|---|---|---|
BNO | -0.22% | $98.06M | 1% |
USO | 0.23% | $976.42M | 0.6% |
XBIL | 0.41% | $708.50M | 0.15% |
XHLF | 0.54% | $1.06B | 0.03% |
IVOL | 0.82% | $477.82M | 1.02% |
DBO | 0.86% | $202.31M | 0.77% |
DBE | -1.34% | $55.82M | 0.77% |
KCCA | 1.77% | $109.09M | 0.87% |
TFLO | -1.80% | $6.78B | 0.15% |
USL | 1.89% | $47.77M | 0.85% |
OILK | 1.95% | $67.99M | 0.69% |
UGA | 2.17% | $89.99M | 0.97% |
ULST | 2.61% | $587.14M | 0.2% |
CLOA | -2.85% | $787.04M | 0.2% |
XONE | 2.89% | $633.49M | 0.03% |
UNG | -2.91% | $420.93M | 1.06% |
DUSB | -2.93% | $1.15B | 0.15% |
CCOR | -2.95% | $64.32M | 1.18% |
COMT | 3.30% | $683.23M | 0.48% |
SOYB | 3.31% | $25.60M | 0.22% |
Name | Correlation | AUM | Expense Ratio |
---|---|---|---|
BTAL | -54.24% | $414.68M | 1.43% |
VIXY | -46.41% | $195.31M | 0.85% |
USDU | -39.44% | $207.14M | 0.5% |
UUP | -35.34% | $325.55M | 0.77% |
TAIL | -29.70% | $86.59M | 0.59% |
CTA | -22.02% | $964.37M | 0.76% |
KMLM | -12.17% | $221.29M | 0.9% |
BIL | -11.12% | $41.05B | 0.1356% |
TPMN | -7.26% | $33.32M | 0.65% |
WEAT | -6.49% | $115.01M | 0.28% |
BILZ | -5.29% | $691.33M | 0.14% |
TBLL | -5.24% | $2.07B | 0.08% |
SGOV | -4.29% | $39.39B | 0.09% |
CORN | -4.29% | $51.42M | 0.2% |
TBIL | -4.01% | $5.35B | 0.15% |
CCOR | -2.95% | $64.32M | 1.18% |
DUSB | -2.93% | $1.15B | 0.15% |
UNG | -2.91% | $420.93M | 1.06% |
CLOA | -2.85% | $787.04M | 0.2% |
TFLO | -1.80% | $6.78B | 0.15% |
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Information on this page is obtained from our data provider, Xignite, an unaffiliated third party. Double believes the information shown here is reliable, but has not been verified and there is no guarantee that the information is accurate. We also show information based on calculations performed by Double using data from our provider. Double believes this information is reliable, but has not verified the data and there is no guarantee that the calculations are accurate.
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