Valuation: The Brunner Investment Trust PLC

Capitalization 608M 816M 698M 649M 1.13B 74.7B 1.21B 7.43B 2.94B 35.35B 3.06B 3B 129B P/E ratio 2023
11.2x
P/E ratio 2024 6.49x
Enterprise value 638M 857M 733M 682M 1.19B 78.45B 1.27B 7.8B 3.09B 37.12B 3.21B 3.15B 136B EV / Sales 2023
10.3x
EV / Sales 2024 6.41x
Free-Float
67.95%
Yield 2023
2.13%
Yield 2024 1.63%
More valuation ratios * Estimated data
Dynamic Chart
1 day+0.55%
1 week-0.94%
Current month+3.08%
1 month+4.10%
3 months+7.59%
6 months+3.80%
Current year+3.08%
More quotes
1 week 1,450
Extreme 1450
1,514
1 month 1,398
Extreme 1398
1,514
Current year 1,426
Extreme 1426
1,514
1 year 1,089.6
Extreme 1089.6001
1,514
3 years 964
Extreme 964
1,545.22
5 years 830
Extreme 830
1,545.22
10 years 470
Extreme 470
1,545.22
More quotes
Manager TitleAgeSince
Corporate Secretary - 2025-06-05
Director TitleAgeSince
Chairman 70 2016-02-29
Director/Board Member 68 2020-04-19
Director/Board Member - 2022-11-30
More insiders
Change 5d. change 1-year change 3-years change Capi.($)
+0.55%-0.94%+5.29%+41.73% 853M
Average +0.55%-1.48%+5.29%+41.73% 853.36M
Weighted average by Cap. +0.55%-1.48%+5.29%+41.73%
See all sector performances

Financials

2023 2024
Net sales 46.67M 62.68M 53.62M 49.86M 86.66M 5.74B 92.6M 570M 226M 2.71B 235M 230M 9.92B 103M 138M 118M 110M 191M 12.62B 204M 1.25B 497M 5.97B 517M 506M 21.83B
Net income 40.63M 54.56M 46.68M 43.4M 75.44M 4.99B 80.61M 496M 196M 2.36B 204M 200M 8.64B 96.05M 129M 110M 103M 178M 11.8B 191M 1.17B 465M 5.58B 483M 474M 20.42B
Net Debt 25.5M 34.24M 29.29M 27.23M 47.34M 3.13B 50.58M 312M 123M 1.48B 128M 126M 5.42B 30.56M 41.05M 35.11M 32.65M 56.75M 3.76B 60.64M 373M 148M 1.78B 154M 151M 6.5B
More financial data * Estimated data
Logo The Brunner Investment Trust PLC
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.
Employees
-
More about the company
Date Price Change Volume
26-01-21 1,474.00 p +0.55% 28,958
26-01-20 1,466.00 p -0.54% 36,967
26-01-19 1,474.00 p -1.07% 48,369
26-01-16 1,490.00 p 0.00% 41,036
26-01-15 1,490.00 p +0.95% 40,144

Delayed Quote London S.E., January 21, 2026 at 11:35 am EST

More quotes