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Valuation: Scottish Mortgage Investment Trust Plc

Capitalization 12.76B 16.89B 14.76B 13.34B 23.2B 1,562B 24.12B 159B 63.14B 746B 63.37B 62.03B 2,695B P/E ratio 2024
9.19x
P/E ratio 2025 9.98x
Enterprise value 14.37B 19.03B 16.63B 15.02B 26.14B 1,760B 27.17B 179B 71.13B 841B 71.39B 69.89B 3,037B EV / Sales 2024
9.62x
EV / Sales 2025 9.91x
Free-Float
85.89%
Yield 2024
0.47%
Yield 2025 0.46%
1 day-0.30%
1 week+1.81%
Current month-4.48%
1 month-2.35%
3 months+4.23%
6 months+6.53%
Current year-0.34%
1 week 1,121
Extreme 1121
1,199
1 month 1,121
Extreme 1121
1,269.5
Current year 1,121
Extreme 1121
1,298.5
1 year 778.14
Extreme 778.137
1,298.5
3 years 604.8
Extreme 604.8
1,298.5
5 years 604.8
Extreme 604.8
1,568.5
10 years 245.07
Extreme 245.071
1,568.5
Director TitleAgeSince
Director/Board Member 64 2016-03-31
Director/Board Member 58 2021-10-04
Director/Board Member 61 2023-05-16
Change 5d. change 1-year change 3-years change Capi.($)
-0.30%+1.81%+22.16%+71.90% 16.89B
Average -0.30%+1.81%+22.16%+71.90% 16.89B
Weighted average by Cap. -0.30%+1.81%+22.16%+71.90%

Financials

2024 2025
Net sales 1.45B 1.91B 1.67B 1.51B 2.63B 177B 2.73B 18.05B 7.15B 84.57B 7.18B 7.03B 305B 1.31B 1.73B 1.51B 1.37B 2.38B 160B 2.47B 16.31B 6.46B 76.39B 6.49B 6.35B 276B
Net income 1.37B 1.81B 1.58B 1.43B 2.48B 167B 2.58B 17.06B 6.76B 79.9B 6.79B 6.64B 289B 1.22B 1.61B 1.41B 1.27B 2.21B 149B 2.3B 15.21B 6.03B 71.23B 6.05B 5.92B 257B
Net Debt 1.52B 2.01B 1.76B 1.59B 2.77B 186B 2.88B 18.99B 7.53B 88.95B 7.55B 7.39B 321B 1.61B 2.14B 1.87B 1.69B 2.94B 198B 3.05B 20.17B 7.99B 94.46B 8.02B 7.85B 341B
Logo Scottish Mortgage Investment Trust Plc
Scottish Mortgage Investment Trust Plc is an investment company that specializes in acquiring shares in listed and non-listed companies. At the end of March 2025, the portfolio amounted, in market value to GBP 13.7 billion, broken down by sector of activity as follows: - consumer discretionary (33.5%) ; - technology (30%); - industrial (16.9%); - healthcare (7.9%); - finance (5.9%); - energy (2.4%); - consumer staples (1.9%); - basic materials (1.2%); - other (0.3%). The portfolio in value is distributed geographically as follows: the United Kingdom (3%), Europe (14.3%), North America (54.5%), Asia (21%), South America (6.5%), Africa and Middle East (0.7%).
Employees
-
Date Price Change Volume
26-03-13 1,182.00 p -0.30% 1,460,679
26-03-12 1,185.50 p +0.47% 1,695,200
26-03-11 1,180.00 p -0.67% 1,124,616
26-03-10 1,188.00 p +3.80% 3,233,728
26-03-09 1,144.50 p -1.42% 4,006,492
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
2
Last Close Price
11.82
Average target price
-
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