Valuation: Chrysalis VCT PLC

Market Cap 11.34M 9.97M 9.4M 8.58M 16.04M 1.09B 16.17M 113M 43.72M 554M 42.58M 41.65M 1.8B P/E 2018
58.7x
P/E 2019 90.2x
Enterprise Value 8.86M 7.8M 7.35M 6.7M 12.54M 851M 12.64M 88.19M 34.17M 433M 33.28M 32.55M 1.41B EV / Sales 2018
14.2x
EV / Sales 2019 17.1x
Free-Float
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Yield 2018
7.94%
Yield 2019 8.73%

Financials

2018 2019
Net sales 1.02M 897K 846K 772K 1.44M 97.91M 1.45M 10.15M 3.93M 49.83M 3.83M 3.75M 162M 808K 711K 670K 611K 1.14M 77.56M 1.15M 8.04M 3.12M 39.47M 3.03M 2.97M 128M
Net income 319K 281K 265K 241K 451K 30.62M 455K 3.17M 1.23M 15.58M 1.2M 1.17M 50.71M 183K 161K 152K 138K 259K 17.57M 261K 1.82M 706K 8.94M 687K 672K 29.09M
Net Debt -3.76M -3.31M -3.12M -2.85M -5.32M -361M -5.37M -37.44M -14.51M -184M -14.13M -13.82M -598M -2.48M -2.18M -2.05M -1.87M -3.5M -238M -3.53M -24.65M -9.55M -121M -9.3M -9.1M -394M
Logo Chrysalis VCT PLC
Chrysalis VCT plc is a venture capital trust (VCT). The Company's principal investment objectives are to achieve long term capital growth and generate tax-free income for its shareholders principally from private equity and alternative investment market (AIM) investments, and comply with the VCT regulations to enable shareholders to retain the initial income tax relief and ongoing tax reliefs. The Company focuses on holding a portfolio of venture capital investments, consisting of unquoted companies, but also, including a proportion of investments in companies trading on AIM. The Company invests in companies across a range of sectors, to fund expansion, acquisitions, management buyouts or turn around opportunities. The Company focuses on holding over 70% of its investments in a portfolio of VCT-qualifying companies. The Company focuses on holding a portfolio consisting of bonds issued by companies and institutions. The Company's investment manager is Chrysalis VCT Management Limited.
Employees
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Sector
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