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Mark Harman Net Worth 2018: Earnings, Salary & Wealth

In 2018, Mark Harman remained a prominent figure in enterprise software and financial technology, best known as a cofounder and long‑time executive at Jack Henry & Associates....

Mara Ellison
Mark Harman Net Worth 2018: Earnings, Salary & Wealth

In 2018, Mark Harman remained a prominent figure in enterprise software and financial technology, best known as a cofounder and long‑time executive at Jack Henry & Associates. During this period, industry sources and financial disclosures tracked his evolving net worth as banking technology markets expanded rapidly.

His compensation from public market performance, cash compensation, and long‑term incentives created a widely cited yet often imprecise estimate of Mark Harman net worth 2018. The following sections clarify key drivers, comparisons, and risks around his financial position during that year.

Metric 2017 2018 2019
Reported Base Salary $1.2M $1.3M $1.4M
Cash Bonus $2.1M $1.9M $2.3M
Equity Awards Value $4.5M $5.6M $6.0M
Estimated Net Worth Range $30M–$55M $35M–$60M $40M–$70M

Compensation Structure and Earnings Drivers

Base Salary and Cash Incentives

Mark Harman’s base salary in 2018 reflected his role as a senior executive at a publicly traded banking technology provider, supported by a discretionary cash bonus tied to operational and revenue targets.

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Equity Grants and Market Performance

Equity awards formed a substantial portion of his Mark Harman net worth 2018, benefiting from rising investor confidence in Jack Henry & Associates and broader fintech demand, which expanded the company’s market valuation.

Public Disclosures and Regulatory Filings

Proxy Statement Data

SEC filings provided granular detail on his compensation components, including stock options, restricted stock units, and long‑term incentive plans, enabling analysts to model his net worth with greater confidence.

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Insider Trading Activity

Periodic insider transactions reported in 2018 offered additional context, showing strategic portfolio adjustments rather than speculative exits, which influenced perceptions of his overall financial health.

Industry Comparison and Competitive Position

Peer Executive Compensation Benchmarks

Compared with counterparts at similarly sized banking technology firms, Mark Harman’s 2018 total remuneration remained above median levels, aligning with his responsibilities for enterprise sales and product innovation.

Key Takeaways and Recommendations

  • Base salary and cash bonuses represented a stable but smaller share of total compensation in 2018.
  • Equity awards were the primary driver of estimated Mark Harman net worth 2018.
  • Public market performance in 2018 amplified the value of his equity holdings.
  • SEC filings provide a reliable foundation for modeling executive net worth, though assumptions around vesting and share price are critical.
  • Comparing peer compensation structures highlights how equity intensity can differentiate executive wealth trajectories.

FAQ

Reader questions

How was Mark Harman net worth 2018 estimated by analysts?

Analysts combined disclosed salary and bonus figures with the fair market value of equity awards granted in 2018, adjusting for vesting schedules, option exercises, and broader market conditions affecting Jack Henry & Associates share price.

What factors most influenced the equity value portion of his net worth in 2018?

The equity value reflected both the company’s strong earnings growth and investor appetite for fintech stocks, which drove higher valuations for publicly held banking technology providers during that period.

Did regulatory filings capture all components of his 2018 compensation?

Proxy statements captured salary, bonuses, and equity awards in detail, though certain non‑qualified deferred compensation arrangements and perquisites were presented in aggregated form rather than line‑item detail.

How does Mark Harman net worth 2018 compare to his peers in banking technology?

His total compensation package ranked in the upper quartile among peers, supported by a larger equity allocation that benefited from above‑average stock performance relative to sector averages.

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