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5-day change | 1st Jan Change | |
489.5 GBX | +0.72% | +1.56% | +14.91% |
Dec. 08 | Baillie Gifford UK Growth hires Neil Rogan; to become chair next year | AN |
Dec. 01 | Smurfit Kappa director sells EUR972,000 in shares | AN |
Sales 2022 | -22.16M -27.8M | Sales 2023 * | - | Capitalization | 658M 825M |
---|---|---|---|---|---|
Net income 2022 | -25M -31.36M | Net income 2023 * | - | EV / Sales 2022 | -30,0x |
Net Debt 2022 | 7.78M 9.76M | Net cash position 2023 * | - 0 | EV / Sales 2023 * | - |
P/E ratio 2022 | -24,6x | P/E ratio 2023 * | Employees | - | |
Yield 2022 | 4,28% | Yield 2023 * |
-
| Free-Float | 91.22% |
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* Assessed data
More news
1 day | +0.72% | ||
1 week | +1.56% | ||
Current month | +1.77% | ||
1 month | +1.56% | ||
3 months | +3.60% | ||
6 months | +5.95% | ||
Current year | +14.91% |
1 week
478.62
491.50

1 month
478.62
494.00

Current year
423.82
494.00

1 year
414.50
494.00

3 years
374.04
494.00

5 years
218.00
494.00

10 years
170.50
494.00

Managers | Title | Age | Since |
---|---|---|---|
Divya Amin
ADM | Chief Administrative Officer | - | - |
Members of the board | Title | Age | Since |
---|---|---|---|
Mick Brewis
BRD | Director/Board Member | - | 2022 |
Director/Board Member | - | 2022 | |
Sarah Whitney
BRD | Director/Board Member | 59 | 2019 |
Name | Weight | AuM | 1st Jan change | Investor Rating |
---|---|---|---|---|
0.59% | 32 M€ | +5.36% | - | |
0.58% | 49 M€ | -0.40% | ||
0.57% | 1,455 M€ | +5.85% | ||
0.57% | 303 M€ | +2.45% | - | |
0.57% | 796 M€ | -0.28% | - |
Date | Price | Change | Volume |
---|---|---|---|
23-12-08 | 489.5 | +0.72% | 580,526 |
23-12-07 | 486 | +0.21% | 568,664 |
23-12-06 | 485 | 0.00% | 1,009,390 |
23-12-05 | 485 | +0.62% | 1,112,527 |
23-12-04 | 482 | 0.00% | 946,709 |
Delayed Quote London Stock Exchange, December 08, 2023 at 11:35 am EST
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JPMorgan Global Growth & Income PLC is a United Kingdom-based investment trust company. The Company's objective is to provide total returns and outperform the Morgan Stanley Capital International (MSCI) all country world index over the long-term by investing in companies based around the world. The Company provides a diversified portfolio of approximately 50 to 90 stocks, in which the investment manager has a high degree of conviction. The Company's portfolio construction is driven by bottom-up stock selection rather than geographical or sector allocation. The Company uses borrowing to gear the portfolio within a range of 5% net cash to 20 % geared under normal market conditions. The Company invests in sectors, such as technology software, media, banks, retail, consumer cyclical and services, financial services, technology semi and hardware, industrial cyclicals, health services and systems and other. JPMorgan Asset Management (UK) Limited is the Company's investment manager.
Sector
Investment Trusts
Calendar
2024-02-26
- Q2 2024 Earnings Release (Projected)
Trading Rating :
Investor Rating :
ESG Refinitiv :
C+
1st Jan change | Capi. | |
---|---|---|
+14.91% | 2 536 M $ | |
+2.82% | 13 074 M $ | |
+0.55% | 5 823 M $ | |
-4.67% | 4 202 M $ | |
+12.87% | 3 809 M $ | |
+40.66% | 3 729 M $ | |
-16.71% | 3 232 M $ | |
+7.40% | 2 833 M $ | |
+0.92% | 2 745 M $ | |
-2.56% | 2 521 M $ |