Valuation : Pacific Horizon Investment Trust PLC

Market Cap 826M 1.12B 963M 902M 1.56B 107B 1.56B 10.68B 4.18B 54.02B 4.21B 4.12B 179B P/E 2024
20.6x
P/E 2025 13.3x
Enterprise Value 858M 1.17B 1B 937M 1.62B 111B 1.62B 11.09B 4.34B 56.11B 4.38B 4.28B 186B EV / Sales 2024
13x
EV / Sales 2025 12.1x
Free-Float
89.41%
Yield 2024
0.43%
Yield 2025 0.23%
1 day+1.81%
1 week+3.12%
Current month+6.44%
1 month+6.44%
3 months-1.58%
6 months+14.93%
Current year+44.10%
1 week 1,070
Extreme 1070
1,128
1 month 975.35
Extreme 975.3501
1,130
Current year 771
Extreme 771
1,262
1 year 662
Extreme 662
1,262
3 years 494.62
Extreme 494.618
1,262
5 years 494.62
Extreme 494.618
1,262
10 years 200.93
Extreme 200.9293
1,262
Manager TitleAgeSince
Corporate Officer/Principal - 2012-12-31
Sales & Marketing - -
Director TitleAgeSince
Director/Board Member 64 2018-09-30
Director/Board Member - 2018-11-08
Director/Board Member - 2020-05-31
Date Insider Type Main position Quantity % Market Cap.
12/13/24 Buy

Director

26 0.0000%
6/25/24 Buy

Chairman

15,000 0.0165%
12/15/23 Buy

Director

35 0.0000%
Change 5-day change 1-year change 3-year change Capi.($)
+1.81%+3.12% - - 1.17B
Average +1.81%
Weighted average by Cap. +1.81%

Financials

2024 2025
Net sales 42.42M 57.65M 49.49M 46.33M 79.92M 5.51B 80.15M 549M 214M 2.78B 216M 212M 9.18B 48.67M 66.14M 56.77M 53.15M 91.69M 6.32B 91.95M 629M 246M 3.18B 248M 243M 10.54B
Net income 26.91M 36.57M 31.39M 29.39M 50.7M 3.49B 50.84M 348M 136M 1.76B 137M 134M 5.83B 43.55M 59.18M 50.8M 47.56M 82.04M 5.65B 82.27M 563M 220M 2.85B 222M 217M 9.43B
Net Debt -4.2M -5.71M -4.91M -4.59M -7.92M -546M -7.94M -54.38M -21.26M -275M -21.45M -20.99M -910M 31.96M 43.43M 37.28M 34.9M 60.21M 4.15B 60.38M 413M 162M 2.09B 163M 160M 6.92B
Logo Pacific Horizon Investment Trust PLC
Pacific Horizon Investment Trust PLC is a United Kingdom-based investment company. The Company’s objective is to achieve capital growth through investment in the Asia-Pacific region (excluding Japan) and the Indian Sub-continent. Its purpose is to conduct business as an investment trust, investing its assets in accordance with its investment objective, in order to achieve capital growth for shareholders. It aims to achieve capital growth principally through investment in companies listed on the stock markets of the Asia-Pacific region (excluding Japan) and the Indian Sub-continent. It also invests in other pooled vehicles (general, country and sector specific) that invest in the markets of the region. The Company invests in sectors, including information technology, communication services, consumer discretionary, financials, real estate, materials, industrials, energy, consumer staples and healthcare. The Company’s alternative investment fund manager is Baillie Gifford & Co Limited.
Employees
550
Date Price Change Volume
26-08-27 GBX 1,124.00 +1.81% 403,603
26-08-26 GBX 1,104.00 0.00% 65,762
26-08-25 GBX 1,104.00 +0.91% 68,731
26-08-24 GBX 1,094.00 -1.97% 235,985
26-08-21 GBX 1,116.00 +2.39% 168,870