Valuation: JPMN GLOBNPV

Market Cap 41.56M 56.65M 48.53M 45.41M 78M 5.42B 79.03M 536M 209M 2.72B 213M 208M 9.01B P/E 2024
-11.8x
P/E 2025 17.9x
Enterprise Value 6.3M 8.59M 7.36M 6.89M 11.83M 822M 11.99M 81.36M 31.73M 413M 32.26M 31.56M 1.37B EV / Sales 2024
-14.5x
EV / Sales 2025 8.88x
Free-Float
99.78%
Yield 2024
6.48%
Yield 2025 3.71%
3 months+4.46%
6 months+0.24%
Current year+7.76%
1 week 1.06
Extreme 1.055
1.06
1 month 1.06
Extreme 1.055
1.06
3 years 0.76
Extreme 0.759
1.13
5 years 0.76
Extreme 0.759
1.34
Director TitleAgeSince
Director/Board Member 63 2019-09-23
Chairman 74 2019-09-23
Director/Board Member 50 2019-09-23
Change 5-day change 1-year change 3-year change Capi.($)
0.00%0.00%+6.84%+5.34% 31.49M
+1.66%+4.21%-10.75%+40.42% 90.52B
-0.76%+2.86%-9.72%+43.97% 67.87B
+1.18%+3.66%+10.12%+73.35% 59.54B
+0.70%+0.77%-9.11%+5.83% 56.84B
+0.69%+1.24%+3.66%+86.55% 54.9B
+0.76%-1.65%+49.82%+160.71% 20.95B
+0.68%+2.71%+14.13%+145.78% 19.33B
-0.74%+2.86%+20.14%+6.27% 14.62B
+0.57%-1.57%-6.06%+77.38% 10.51B
Average +0.53%+1.12%+6.91%+64.56% 43.9B
Weighted average by Cap. +0.69%+2.32%+0.51%+58.67%

Financials

2024 2025
Net sales -9.16M -12.49M -10.7M -10.01M -17.2M -1.2B -17.43M -118M -46.13M -600M -46.91M -45.88M -1.99B 12.36M 16.85M 14.43M 13.5M 23.2M 1.61B 23.51M 160M 62.22M 810M 63.27M 61.89M 2.68B
Net income -11.88M -16.19M -13.87M -12.98M -22.29M -1.55B -22.59M -153M -59.79M -778M -60.8M -59.47M -2.57B 9.84M 13.41M 11.49M 10.75M 18.46M 1.28B 18.71M 127M 49.52M 644M 50.35M 49.25M 2.13B
Net Debt -3.68M -5.02M -4.3M -4.02M -6.91M -480M -7M -47.52M -18.53M -241M -18.84M -18.43M -798M -35.26M -48.06M -41.17M -38.52M -66.17M -4.6B -67.05M -455M -177M -2.31B -180M -177M -7.64B
Logo JPMN GLOBNPV
JPMorgan Global Core Real Assets Limited is a Guernsey-based closed-ended investment company. The Company's investment objective is to realize all existing assets in the Company's portfolio in an orderly manner and to make timely returns of capital to shareholders. The Company will pursue its investment objective by effecting an orderly realisation of its assets. It has constructed a diversified portfolio of real assets, including real estate, transport assets, infrastructure, and liquid real assets. The Company is invested in private funds or managed accounts that are managed or advised by entities within the JPMorgan Asset Management. The Company’s investment manager is J.P. Morgan Asset Management, Inc., and its alternative investment fund manager is JPMorgan Funds Limited.
Employees
-
Date Price Change
26-08-21 US$1.055 0.00%
26-08-20 US$1.055 0.00%
26-08-19 US$1.055 0.00%
26-08-18 US$1.055 0.00%
26-08-17 US$1.055 0.00%