Capitalization 835M 1.12B 952M 890M 1.54B 102B 1.69B 10.4B 4.01B 47.86B 4.2B 4.12B 173B P/E ratio 2023
9.05x
P/E ratio 2024 17.1x
Enterprise value 926M 1.24B 1.06B 988M 1.71B 113B 1.87B 11.55B 4.45B 53.13B 4.67B 4.57B 193B EV / Sales 2023
8.58x
EV / Sales 2024 15.9x
Free-Float
98.95%
Yield 2023
2.64%
Yield 2024 2.98%
More valuation ratios * Estimated data
Dynamic Chart
Nov. 06 The Scottish American Investment Company P.L.C. Declares Third Interim Dividend of the year to 31 December 2025, Payable on 11 December 2025 CI
Aug. 26 Scottish American Investment Co says Angus Macpherson to become chairman after AGM RE
Aug. 26 The Scottish American Investment Company P.L.C. Announces Appointment of Angus Macpherson as A Non-Executive Director, with Effect from September 1, 2025 CI
Aug. 26 Scottish American Investment Names Chairman Designate MT
Aug. 26 Scottish American adds Templeton Emerging chair to board AN
Aug. 05 The Scottish American Investment Company P.L.C. Reports Earnings Results for the Half Year Ended June 30, 2025 CI
Aug. 05 Scottish American Investment Posts Lower H1 Net Return MT
Aug. 05 Scottish American Investment Company declares second interim dividend of 3.75p RE
May. 15 The Scottish American Investment Company P.L.C. Declares First Interim Dividend in Respect of the Year to 31 December 2025, Payable on 19 June 2025 CI
Apr. 14 The Scottish American Investment Company P.L.C. commences an Equity Buyback Plan for 26,206,381 shares, representing 14.99% of its issued share capital, under the authorization approved on April 8, 2025. CI
Apr. 08 The Scottish American Investment Company P.L.C.'s Equity Buyback announced on September 26, 2024, has expired. CI
Mar. 17 AIC hails "remarkable resilience" of investment trust dividend growth AN
Feb. 27 The Biotech Growth Trust PLC's Equity Buyback announced on July 19, 2024 has expired. CI
More news
1 day-0.39%
1 week-0.20%
Current month-1.37%
1 month+0.20%
6 months+0.40%
Current year+1.30%
More quotes
1 week 502
Extreme 502
510
1 month 492
Extreme 492
514
Current year 427.04
Extreme 427.035
525.98
1 year 427.04
Extreme 427.035
525.98
3 years 427.04
Extreme 427.035
543
5 years 427.04
Extreme 427.035
548
10 years 230
Extreme 230
548
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Director TitleAgeSince
Chairman 66 2022-04-04
Director/Board Member 56 2019-04-03
Director/Board Member 71 2018-12-31
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Change 5d. change 1-year change 3-years change Capi.($)
-0.98%-0.20%-0.98%+0.60% 1.13B
+1.05%+5.80%+19.11%+53.87% 16.72B
-0.97%-0.97%+7.98%+36.47% 7.89B
-2.38%-5.16%+29.64%+148.07% 6.91B
-0.63%-0.47%-0.16%+36.71% 6.55B
-1.05%-1.40%-4.73%+33.02% 4.3B
-0.88%+1.36%+13.48%+11.44% 4.18B
-0.38%+0.38%+19.86%+28.89% 3.53B
-0.96%-1.10%+12.17%+49.33% 3.2B
-0.60%+2.99%-3.29%+41.24% 3.08B
Average -0.65%+0.90%+9.31%+43.96% 5.75B
Weighted average by Cap. -0.44%+1.43%+12.53%+52.70%
See all sector performances

Financials

2023 2024
Net sales 121M 163M 138M 130M 224M 14.82B 246M 1.51B 584M 6.96B 612M 599M 25.24B 61.04M 81.96M 69.61M 65.12M 113M 7.45B 123M 761M 293M 3.5B 307M 301M 12.69B
Net income 105M 141M 120M 112M 194M 12.82B 212M 1.31B 505M 6.02B 529M 518M 21.83B 51.87M 69.65M 59.15M 55.34M 95.73M 6.33B 105M 646M 249M 2.97B 261M 256M 10.78B
Net Debt 87.39M 117M 99.65M 93.23M 161M 10.67B 177M 1.09B 420M 5.01B 440M 431M 18.17B 91.92M 123M 105M 98.06M 170M 11.22B 186M 1.15B 442M 5.27B 463M 453M 19.11B
More financial data * Estimated data
Logo The Scottish American Investment Company P.L.C.
The Scottish American Investment Company P.L.C. (SAINTS) is a United Kingdom-based investment company. The Company's objective is to deliver real dividend growth by increasing capital and growing income. The Company’s policy is to invest in equity markets, but other investments may be held from time to time, including bonds, property and other asset classes. SAINTS equity portfolio consists of shares listed both in the United Kingdom and in overseas markets. The Company primarily invests in various sectors, such as basic materials, consumer discretionary, consumer staples, financials, healthcare, industrials, real estate, technology, telecommunications and utilities. The alternative investment fund manager of the Company is Baillie Gifford & Co Limited.
Employees
5
More about the company
Date Price Change Volume
25-12-16 505.00 p -0.98% 276,328
25-12-15 510.00 p +0.99% 359,647
25-12-12 505.00 p +0.20% 326,053
25-12-11 504.00 p 0.00% 316,516
25-12-10 504.00 p -0.40% 255,160

Delayed Quote London S.E., December 16, 2025 at 11:35 am EST

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