The Brunner Investment Trust PLC Stock

Equities

BUT

GB0001490001

Investment Trusts

Market Closed - London S.E. 11:35:04 2024-05-15 am EDT 5-day change 1st Jan Change
1,350 GBX +0.75% Intraday chart for The Brunner Investment Trust PLC +0.75% +12.50%
Days
Hours
Minutes
Seconds
-40%
on all our subscriptions*
Last Hours!
Take advantage of the offer
* See conditions on site
Sales 2022 8.89M 11.24M Sales 2023 46.67M 59.05M Capitalization 455M 575M
Net income 2022 3M 3.8M Net income 2023 40M 50.61M EV / Sales 2022 52.1 x
Net Debt 2022 27.29M 34.53M Net Debt 2023 25.5M 32.26M EV / Sales 2023 10.3 x
P/E ratio 2022
120 x
P/E ratio 2023
11.2 x
Employees -
Yield 2022
2.11%
Yield 2023
2.13%
Free-Float 69.73%
More Fundamentals * Assessed data
Dynamic Chart
1 day+1.49%
1 week+0.75%
Current month+3.05%
1 month+3.85%
3 months+12.50%
6 months+26.76%
Current year+12.50%
More quotes
1 week
1 320.75
Extreme 1320.75
1 365.00
1 month
1 255.30
Extreme 1255.3
1 365.00
Current year
1 125.00
Extreme 1125
1 365.00
1 year
964.00
Extreme 964
1 365.00
3 years
888.00
Extreme 888
1 365.00
5 years
550.00
Extreme 550
1 365.00
10 years
463.66
Extreme 463.655
1 365.00
More quotes
Managers TitleAgeSince
Corporate Secretary - 99-11-17
Members of the board TitleAgeSince
Chairman 68 13-12-01
Director/Board Member 66 20-04-19
Director/Board Member - 22-11-30
More insiders
Date Price Change Volume
24-05-15 1,350 +0.75% 85 501
24-05-14 1,340 -0.37% 39,106
24-05-13 1,345 0.00% 81,878
24-05-10 1,345 -0.37% 94,333
24-05-09 1,350 +0.75% 105,091

Delayed Quote London S.E., May 15, 2024 at 11:35 am EDT

More quotes
The Brunner Investment Trust PLC (The Trust) is a United Kingdom-based investment company. The Trust’s investment objective is to provide growth in capital value and dividends for investors over the long term through investing in a portfolio of global and United Kingdom equities. Its benchmark against which performance is measured is 70% FTSE World ex-United Kingdom Index and 30% FTSE All-Share Index. The maximum holding in any single stock is limited to 10% of gross assets in stock at the time of investment and its portfolio consists of at least 50 stocks. It invests up to 15% of its gross assets in other United Kingdom-listed investment companies. It invests in various sectors, such as industrials, financials, healthcare, information technology, consumer discretionary, energy, materials, consumer staples, utilities, and real estate. Its manager or alternative investment fund manager (AIFM) is Allianz Global Investors GmbH.
More about the company
-40% Limited Time Offer: Our subscriptions help you unlock hidden opportunities.
BENEFIT NOW