Valuation: AVI Global Trust PLC

Market Cap 994M 1.33B 1.17B 1.08B 1.88B 129B 1.91B 12.92B 5.07B 62.94B 5.01B 4.9B 217B P/E 2024
7.3x
P/E 2025 9.36x
Enterprise Value 1.08B 1.45B 1.27B 1.18B 2.04B 140B 2.08B 14.07B 5.52B 68.54B 5.46B 5.34B 236B EV / Sales 2024
7.1x
EV / Sales 2025 8.28x
Free-Float
93.63%
Yield 2024
1.62%
Yield 2025 1.72%
Manager TitleAgeSince
Chief Executive Officer - -
Chief Tech/Sci/R&D Officer - 2011-01-31
Director TitleAgeSince
Director/Board Member 66 2017-03-31
Director/Board Member 62 2017-12-31
Chairman 59 2022-12-19
Change 5-day change 1-year change 3-year change Capi.($)
+0.13%-98.98% - - 1.34B
Average +0.13%
Weighted average by Cap. +0.13%

Financials

2024 2025
Net sales 161M 215M 189M 175M 303M 20.77B 308M 2.09B 818M 10.16B 809M 791M 35.01B 141M 190M 166M 154M 267M 18.31B 271M 1.84B 721M 8.96B 713M 697M 30.86B
Net income 143M 191M 168M 155M 269M 18.46B 273M 1.85B 727M 9.03B 719M 703M 31.12B 120M 161M 141M 131M 227M 15.55B 230M 1.56B 612M 7.61B 605M 592M 26.21B
Net Debt 118M 159M 139M 129M 223M 15.3B 227M 1.54B 602M 7.48B 596M 583M 25.78B 88.56M 119M 104M 96.29M 167M 11.46B 170M 1.15B 451M 5.61B 446M 437M 19.32B
Logo AVI Global Trust PLC
AVI Global Trust plc is a United Kingdom-based closed-end investment trust. The Company's investment objective is to achieve capital growth through a focused portfolio of investments, particularly in companies whose share prices stand at a discount to estimated underlying net asset value. The Company's financial instruments comprise equity and fixed-interest investments, cash balances, receivables, payables and borrowings. Its portfolio of investments across various countries includes Europe, Japan, North America, Asia, the United Kingdom and others. It invests in various sectors, including consumer discretionary, communication services, industrials, consumer staples, information technology, real estate, financials, utilities, energy, healthcare, and materials. The Company's alternative investment fund manager is Asset Value Investors Limited.
Employees
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