Valuation : SVM UK EMERGING FUND

Market Cap 5.38M 7.29M 6.27M 5.9M 10.04M 691M 10.09M 69.86M 27.03M 353M 27.37M 26.77M 1.12B P/E 2023
-3.36x
P/E 2024 16.6x
Enterprise Value 5.03M 6.82M 5.86M 5.51M 9.39M 646M 9.44M 65.34M 25.28M 330M 25.6M 25.04M 1.05B EV / Sales 2023
-3.7x
EV / Sales 2024 8.1x
Free-Float
60.98%
Yield 2023 *
-
Yield 2024 -
3 years 59.25
Extreme 59.25
96.5
5 years 59.25
Extreme 59.25
118
10 years 57
Extreme 57
128
Director TitleAgeSince
Chairman 84 2010-12-12
Director/Board Member 58 2019-08-14
Director/Board Member 73 2020-03-05
Date Insider Type Main position Quantity % Market Cap. Importance
10/1/20 Buy

Director

5,000 0.0834%
Change 5-day change 1-year change 3-year change Capi.($)
-.--%-.--% - +32.96% 7.18M
Average -.--%-.--%+32.96% 7.18M
Weighted average by Cap. -.--%-.--%+32.96%

Financials

2023 2024
Net sales -961K -1.3M -1.12M -1.05M -1.79M -123M -1.8M -12.48M -4.83M -63.08M -4.89M -4.78M -201M 412K 558K 480K 451K 769K 52.91M 773K 5.35M 2.07M 27.05M 2.1M 2.05M 86.06M
Net income -1.17M -1.58M -1.36M -1.28M -2.18M -150M -2.19M -15.16M -5.87M -76.67M -5.94M -5.81M -244M 222K 301K 259K 243K 414K 28.51M 416K 2.88M 1.12M 14.57M 1.13M 1.1M 46.37M
Net Debt -375K -508K -437K -411K -700K -48.16M -703K -4.87M -1.88M -24.62M -1.91M -1.87M -78.33M -348K -471K -405K -381K -649K -44.69M -653K -4.52M -1.75M -22.84M -1.77M -1.73M -72.69M
Logo SVM UK EMERGING FUND
SVM UK Emerging Fund plc (the Fund) is a United Kingdom-based investment trust. The investment objective of the Fund is to achieve long term capital growth from investments in medium-sized and smaller United Kingdom companies. The Fund achieves its objective and diversifying risk by investing in shares and related instruments, controlled by a number of limits on exposures. The Fund's portfolio is focused on medium-sized and smaller-growing businesses. The Fund’s portfolio includes investments in various sectors, such as industrials, consumer discretionary, communication services, real estate, financials, healthcare, materials, consumer staples and information technology. River Global Investors LLP provides investment management, administration and secretarial services to the Fund.
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