Valuation: Personal Assets Trust plc

Capitalization 1.67B 2.28B 1.93B 1.77B 3.11B 217B 3.14B 20.98B 8.19B 103B 8.54B 8.36B 357B P/E ratio 2024
40.1x
P/E ratio 2025 14.8x
Enterprise value 1.47B 2.01B 1.71B 1.56B 2.75B 192B 2.77B 18.55B 7.24B 91.32B 7.55B 7.39B 316B EV / Sales 2024
24.4x
EV / Sales 2025 15.7x
Free-Float
78.69%
Yield 2024
1.16%
Yield 2025 1.1%
1 day-0.28%
1 week-0.60%
Current month-0.22%
1 month-0.22%
3 months-1.88%
6 months-1.88%
Current year-1.33%
1 week 531
Extreme 531
544
1 month 531
Extreme 531
548
Current year 515
Extreme 515
555
1 year 502.15
Extreme 502.15
555
3 years 457
Extreme 457
555
5 years 457
Extreme 457
555
10 years 362.28
Extreme 362.2839
555
Manager TitleAgeSince
Chief Investment Officer 59 -
Director TitleAgeSince
Director/Board Member - 2017-11-30
Director/Board Member 66 1997-04-29
Chairman 69 2020-09-17
Change 5d. change 1-year change 3-years change Capi.($)
-0.28%-0.60%+3.05%+11.67% 2.28B
Average -0.28%+0.19%+3.05%+11.67% 2.28B
Weighted average by Cap. -0.28%+0.19%+3.05%+11.67%

Financials

2024 2025
Net sales 66.59M 90.88M 77.12M 70.63M 124M 8.66B 125M 838M 327M 4.12B 341M 334M 14.27B 91.08M 124M 105M 96.6M 170M 11.84B 171M 1.15B 447M 5.64B 466M 457M 19.52B
Net income 44.26M 60.4M 51.26M 46.94M 82.55M 5.75B 83.22M 557M 217M 2.74B 227M 222M 9.48B 115M 157M 133M 122M 214M 14.94B 216M 1.45B 564M 7.12B 588M 576M 24.63B
Net Debt -29.48M -40.22M -34.13M -31.26M -54.98M -3.83B -55.42M -371M -145M -1.83B -151M -148M -6.32B -193M -264M -224M -205M -361M -25.15B -364M -2.43B -950M -11.98B -990M -970M -41.45B
Logo Personal Assets Trust plc
Personal Assets Trust PLC is a United Kingdom-based investment trust run primarily for private investors. The Company's investment policy is to protect and increase (in that order) the value of shareholders' funds per share over the long term. While the Company uses the FTSE All-Share Index (the All-Share) as a comparator for the purpose of monitoring performance and risk, the composition of the All-Share has no influence on investment decisions or the construction of the portfolio. The Company will invest in equities and fixed income securities and it may also hold cash and cash equivalents and gold. The Company may use derivatives as a way of increasing or reducing its investment exposure and to enhance and protect investment positions. The Company may also from time to time make use of currency hedging. Troy Asset Management Limited is the investment manager of the Company. Juniper Partners Limited is the alternative investment fund manager of the Company.
Employees
-
Date Price Change Volume
26-05-12 533.80 p -0.22% 339,898
26-05-11 535.00 p -0.37% 475,333
26-05-08 537.00 p -0.19% 464,132
26-05-07 538.00 p +0.19% 497,089
26-05-06 537.00 p 0.00% 530,812