Valuation: Prudential plc

Market Cap 22.81B 30.15B 26.9B 25.06B 42.95B 2,904B 43.27B 303B 118B 1,482B 113B 111B 4,764B P/E 2026 *
11x
P/E 2027 * 8.5x
Enterprise Value 22.81B 30.15B 26.9B 25.06B 42.95B 2,904B 43.27B 303B 118B 1,482B 113B 111B 4,764B EV / Sales 2026 *
2.46x
EV / Sales 2027 * 2.23x
Free-Float
99.69%
Yield 2026 *
2.46%
Yield 2027 * 2.81%
1 day+0.09%
1 week-1.22%
Current month-0.27%
1 month-8.76%
3 months-10.69%
6 months-11.67%
Current year-18.36%
1 week 10.72
Extreme 10.725
11.16
1 month 10.72
Extreme 10.725
12.06
Current year 10.66
Extreme 10.665
14.2
1 year 10.66
Extreme 10.665
14.2
3 years 8.15
Extreme 8.15
14.2
5 years 8.15
Extreme 8.15
17.9
10 years 7.7
Extreme 7.7
18.6
Manager TitleAgeSince
Chief Executive Officer 57 2023-02-24
Director of Finance/CFO - 2023-05-30
Chief Operating Officer 58 2024-04-30
Director TitleAgeSince
Director/Board Member 68 2019-12-31
Director/Board Member 66 2021-05-11
Director/Board Member 68 2021-05-11
Change 5-day change 1-year change 3-year change Capi.($)
+0.07%-1.22% - - 30.15B
-0.87%-5.21%+24.89%+132.14% 140B
+1.50%+1.70%-3.30%+10.33% 134B
+1.19%-1.93%+8.14%+52.48% 95.59B
-0.36%-7.04%-8.64%+1.78% 90.53B
-0.03%-0.60%+37.51%+148.94% 71.4B
+0.93%-2.76%+29.59%+125.65% 71.08B
+1.00%+1.33%+75.72%+170.40% 67.06B
+2.59%+1.11%+17.62%+60.69% 61.57B
-0.85%-3.44%+57.91%+135.84% 56.28B
Average +0.51%-2.21%+26.60%+93.14% 87.5B
Weighted average by Cap. +0.48%-2.29%+21.90%+85.66%

Financials

2026 *2027 *
Net sales 9.25B 12.23B 10.91B 10.17B 17.42B 1,178B 17.55B 123B 47.8B 601B 45.92B 44.93B 1,933B 10.23B 13.53B 12.07B 11.25B 19.27B 1,303B 19.42B 136B 52.87B 665B 50.8B 49.7B 2,138B
Net income 2.06B 2.73B 2.43B 2.27B 3.88B 263B 3.91B 27.39B 10.66B 134B 10.24B 10.02B 431B 2.54B 3.36B 3B 2.79B 4.79B 324B 4.82B 33.75B 13.13B 165B 12.62B 12.34B 531B
Net Debt - -
Logo Prudential plc
Prudential plc is a financial services group organized around 2 areas of activity: - life and health insurance (96.4% of revenues): sales of savings, retirement, pre-planning, and health plans. Revenue is distributed by country between Hong Kong (35.8%), Singapore (21.7%), Malaysia (12.4%), Indonesia (11.3%) and other (18.8%); - asset management (3.6%; Eastspring): USD 277.7 billion of funds under management in 2025. Revenues are distributed geographically as follows: Hong Kong (35.3%), Singapore (20.8%), Malaysia (12.6%), Indonesia (9.9%) and other (21.4%).
Employees
-
Date Price Change Volume
26-10-06 €10.94 +0.09% 11,175
26-10-05 €10.93 +0.55% 2,293
26-10-02 €10.87 -0.14% 31,732
26-10-01 €10.89 -0.77% 3,378
26-09-30 €10.97 -0.95% 19,715
Trader
Investor
-
Global
-
Quality
ESG MSCI
AA
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
14
Last Close Price
9.190GBP
Average target price
14.20GBP
Spread / Average Target
+54.52%

Annual profits - Rate of surprise