Valuation: The Edinburgh Investment Trust plc

Capitalization 1.1B 1.48B 1.26B 1.17B 2.03B 134B 2.23B 13.72B 5.29B 63.13B 5.54B 5.43B 229B P/E ratio 2024
8.37x
P/E ratio 2025 12.8x
Enterprise value 1.21B 1.63B 1.38B 1.29B 2.24B 148B 2.45B 15.12B 5.83B 69.59B 6.11B 5.98B 252B EV / Sales 2024
8x
EV / Sales 2025 12.5x
Free-Float
73.22%
Yield 2024
3.94%
Yield 2025 3.89%
More valuation ratios * Estimated data
Dynamic Chart

Last Transcript: The Edinburgh Investment Trust plc

1 day-0.74%
1 week+0.63%
Current month-1.23%
1 month-0.25%
3 months+0.25%
6 months+0.12%
Current year+8.06%
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1 week 793
Extreme 793
809
1 month 786
Extreme 786
815
Current year 667
Extreme 667
842
1 year 667
Extreme 667
842
3 years 611
Extreme 611
842
5 years 507.13
Extreme 507.131
842
10 years 335.5
Extreme 335.5
842
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Director TitleAgeSince
Director/Board Member 57 2018-09-09
Chairman 61 2022-07-20
Director/Board Member 54 2021-02-10
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Change 5d. change 1-year change 3-years change Capi.($)
-0.62%+0.63%+6.77%+28.43% 1.48B
+1.05%+5.80%+19.11%+53.87% 16.72B
-0.97%-0.97%+7.98%+36.47% 7.89B
-2.38%-5.16%+29.64%+148.07% 6.91B
-0.63%-0.47%-0.16%+36.71% 6.55B
-1.05%-1.40%-4.73%+33.02% 4.3B
-0.88%+1.36%+13.48%+11.44% 4.18B
-0.38%+0.38%+19.86%+28.89% 3.53B
-0.96%-1.10%+12.17%+49.33% 3.2B
-0.60%+2.99%-3.29%+41.24% 3.08B
Average -0.68%+0.94%+10.08%+46.75% 5.78B
Weighted average by Cap. -0.45%+1.44%+12.64%+53.10%
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Financials

2024 2025
Net sales 141M 190M 161M 151M 261M 17.23B 286M 1.76B 679M 8.1B 711M 696M 29.35B 94.36M 127M 108M 101M 174M 11.52B 191M 1.18B 454M 5.41B 475M 465M 19.62B
Net income 132M 177M 150M 141M 243M 16.08B 266M 1.64B 633M 7.55B 663M 649M 27.38B 85.45M 115M 97.44M 91.16M 158M 10.43B 173M 1.06B 411M 4.9B 430M 421M 17.76B
Net Debt 83.69M 112M 95.43M 89.28M 154M 10.22B 169M 1.04B 402M 4.8B 421M 413M 17.4B 113M 151M 129M 120M 208M 13.77B 228M 1.41B 542M 6.47B 568M 556M 23.44B
More financial data * Estimated data
Logo The Edinburgh Investment Trust plc
The Edinburgh Investment Trust plc is a United Kingdom-based investment trust. The Company's investment objective is to invest primarily in United Kingdom (UK) securities with the long-term objective of achieving an increase of the net asset value per share in excess of the growth in the Financial Times Stock Exchange (FTSE) All-Share Index, and growth in dividends per share in excess of the rate of UK inflation. The Company invests in companies quoted on a recognized stock exchange in the UK. The Company may also invest up to 20% of the portfolio in securities listed on stock exchanges outside the UK. The portfolio is selected on the basis of assessment of fundamental value of individual securities and is not structured on the basis of industry weightings. It invests in various sectors, including industrial engineering, industrial support services, retailers, media, banks, and pharmaceuticals and biotechnology. Its alternative investment fund manager is Liontrust Fund Partners LLP.
Employees
-
More about the company
Date Price Change Volume
25-12-16 804.00 p -0.62% 240,943
25-12-15 809.00 p +1.38% 211,304
25-12-12 798.00 p 0.00% 218,242
25-12-11 798.00 p +0.25% 213,576
25-12-10 796.00 p -0.38% 271,392

Delayed Quote London S.E., December 16, 2025 at 11:35 am

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Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
2
Last Close Price
8.040
Average target price
-
Consensus