Valuation: Murray Income Trust PLC

Market Cap 910M 1.21B 1.06B 990M 1.71B 116B 1.73B 11.77B 4.57B 57.27B 4.53B 4.44B 198B P/E 2024
9.78x
P/E 2025 37.7x
Enterprise Value 1.01B 1.34B 1.18B 1.1B 1.9B 129B 1.92B 13.08B 5.09B 63.67B 5.04B 4.94B 220B EV / Sales 2024
9.6x
EV / Sales 2025 31.5x
Free-Float
78.81%
Yield 2024
4.49%
Yield 2025 4.68%
1 day+0.90%
1 week+1.20%
Current month+3.38%
1 month+3.38%
3 months+6.67%
6 months+8.15%
Current year+10.41%
1 week 985
Extreme 985
1,022
1 month 969
Extreme 969
1,022
Current year 854.66
Extreme 854.663
1,022
1 year 854.66
Extreme 854.663
1,022
3 years 727.83
Extreme 727.8303
1,022
5 years 715
Extreme 715
1,022
10 years 552
Extreme 552
1,022
Manager TitleAgeSince
Chief Investment Officer 53 1999-12-31
Corporate Officer/Principal - 2014-12-31
Director TitleAgeSince
Chairman - 2023-11-06
Director/Board Member 66 2018-08-01
Director/Board Member 54 2021-11-02
Date Insider Type Main position Quantity % Market Cap.
5/8/26 Buy

Director

2,000 0.0021%
4/2/26 Buy

Director

1,671 0.0018%
3/5/26 Buy

Director

2,105 0.0022%
Change 5-day change 1-year change 3-year change Capi.($)
+0.90%+1.20%+12.12%+17.21% 1.24B
Average +0.90%+0.30%+12.12%+17.21% 1.24B
Weighted average by Cap. +0.90%+0.30%+12.12%+17.21%

Financials

2024 2025
Net sales 103M 136M 120M 112M 193M 13.08B 195M 1.33B 516M 6.46B 512M 501M 22.33B 29.73M 39.51M 34.74M 32.36M 55.78M 3.79B 56.51M 384M 149M 1.87B 148M 145M 6.47B
Net income 94.78M 126M 111M 103M 178M 12.08B 180M 1.23B 476M 5.97B 472M 463M 20.62B 22.88M 30.41M 26.73M 24.9M 42.93M 2.92B 43.49M 296M 115M 1.44B 114M 112M 4.98B
Net Debt 88.71M 118M 104M 96.55M 166M 11.31B 169M 1.15B 446M 5.58B 442M 433M 19.3B 102M 135M 119M 111M 191M 12.96B 193M 1.32B 511M 6.4B 507M 496M 22.13B
Logo Murray Income Trust PLC
Murray Income Trust PLC is a United Kingdom-based investment trust. The Company's investment objective is to achieve a high and growing income combined with capital growth through investment in a portfolio principally of United Kingdom equities. The Company’s investment policy is to invest in the shares of companies that have the potential for real earnings and dividend growth, while at the same time providing an above-average portfolio yield. The Company invests in various sectors, such as financials, industrials, consumer discretionary, consumer staples, healthcare, energy, utilities, basic materials, technology, real estate and telecommunications. The Company's alternative investment fund manager is Artemis Fund Managers Limited.
Employees
23,000
Date Price Change Volume
26-07-27 GBX 1,008.00 +0.90% 88,563
26-07-24 GBX 999.00 +1.11% 151,475
26-07-23 GBX 988.00 -1.40% 77,132
26-07-22 GBX 1,002.00 +1.42% 165,700
26-07-21 GBX 988.00 -0.60% 127,689