Valuation: Northern 2 VCT PLC

Market Cap 135M 181M 157M 147M 255M 17.29B 258M 1.73B 677M 8.64B 681M 667M 28.75B P/E 2024
38.9x
P/E 2025 14.3x
Enterprise Value 96.84M 130M 113M 106M 183M 12.41B 185M 1.24B 486M 6.2B 489M 479M 20.64B EV / Sales 2024
12.9x
EV / Sales 2025 6.84x
Free-Float
99.78%
Yield 2024
5.5%
Yield 2025 5.61%
1 week-1.85%
Current month-1.85%
1 month+1.92%
3 months-0.93%
6 months-0.93%
Current year-0.93%
1 week 51.5
Extreme 51.5
55.5
1 month 50.5
Extreme 50.5
55.5
Current year 47
Extreme 47
55.5
1 year 47
Extreme 47
56.5
3 years 47
Extreme 47
64.32
5 years 47
Extreme 47
73.5
10 years 43
Extreme 43
78
Director TitleAgeSince
Chairman 77 2007-12-31
Director/Board Member 59 2017-01-02
Director/Board Member 55 2022-05-26
Date Insider Type Main position Quantity % Market Cap.
4/4/23 Free

Director

25,834 0.0139%
4/4/23 Free 17,223 0.0093%
4/4/23 Free

Chairman

10,333 0.0056%
Change 5-day change 1-year change 3-year change Capi.($)
0.00%-1.85%-2.75%-3.64% 190M
+0.68%+1.57%+64.24%+23.28% 3.5B
+1.03%+5.09%-10.69%-4.25% 3.15B
-0.20%-0.40%+46.08%+25.38% 2.04B
+1.56%+7.21%+77.81%+160.10% 1.36B
0.00%0.00%-1.72%-7.02% 725M
+0.42%+34.76%+118.31%+178.78% 528M
-4.05%-0.70%-5.33%-8.97% 415M
0.00%0.00%-44.44%-75.18% 388M
+2.39%-0.47%-0.47%-10.46% 366M
Average +0.20%+1.96%+24.10%+27.80% 1.27B
Weighted average by Cap. +0.59%+2.25%+34.11%+30.77%

Financials

2024 2025
Net sales 5.51M 7.41M 6.43M 6.02M 10.4M 706M 10.54M 70.47M 27.66M 353M 27.83M 27.23M 1.17B 11.63M 15.65M 13.58M 12.71M 21.96M 1.49B 22.24M 149M 58.37M 745M 58.74M 57.47M 2.48B
Net income 2.85M 3.83M 3.32M 3.11M 5.38M 365M 5.45M 36.42M 14.29M 182M 14.39M 14.07M 607M 8.37M 11.25M 9.77M 9.15M 15.79M 1.07B 16M 107M 41.99M 536M 42.26M 41.34M 1.78B
Net Debt -43M -57.85M -50.2M -47.01M -81.18M -5.51B -82.24M -550M -216M -2.75B -217M -212M -9.16B -38.06M -51.21M -44.44M -41.61M -71.86M -4.88B -72.79M -487M -191M -2.44B -192M -188M -8.11B
Logo Northern 2 VCT PLC
Northern 2 VCT PLC is a United Kingdom-based venture capital trust (VCT). The Company’s objective is to provide high long-term tax-free returns to investors through a combination of dividend yield and capital growth, by investing primarily in unquoted United Kingdom manufacturing, service and technology businesses which meet the manager’s key criteria of good growth potential, strong management and ability to generate cash in the medium to long term. It also invests its remaining assets in a portfolio of equity investments, quoted investment funds and bank deposits. Its investment policy has been designed to enable the Company to achieve its objective whilst complying with the qualifying conditions set out in the VCT rules, as amended by Her Majesty's (HM) Government from time to time. It invests across various sectors, including software/electronics, consumer, industrial/manufacturing, services, and healthcare/biotechnology. Its investment manager is Mercia Fund Management Limited.
Employees
-
Date Price Change Volume
26-08-07 GBX 53.00 0.00% 0
26-08-06 GBX 53.00 -1.85% 22,172
26-08-05 GBX 54.00 0.00% 0
26-08-04 GBX 54.00 0.00% 26,115
26-08-03 GBX 54.00 0.00% 6,554