Valuation: JPMorgan Global Growth & Income plc

Capitalization 3.11B 4.19B 3.57B 3.3B 5.8B 390B 5.93B 38.88B 15.18B 187B 15.73B 15.39B 668B P/E ratio 2024
4.5x
P/E ratio 2025 82.3x
Enterprise value 3.09B 4.16B 3.55B 3.28B 5.76B 387B 5.9B 38.63B 15.08B 186B 15.63B 15.29B 663B EV / Sales 2024
4.7x
EV / Sales 2025 47x
Free-Float
90.41%
Yield 2024
3.18%
Yield 2025 4.17%
1 day+0.97%
1 week+3.45%
Current month+5.17%
1 month+2.89%
3 months-2.56%
6 months-1.38%
Current year-0.70%
1 week 540.5
Extreme 540.5
571.5
1 month 529.6
Extreme 529.6
571.5
Current year 529.6
Extreme 529.6
590
1 year 483.08
Extreme 483.077
591
3 years 441.5
Extreme 441.5
614
5 years 386
Extreme 386
614
10 years 182
Extreme 182
614
Director TitleAgeSince
Director/Board Member 62 31/12/2019
Chairman - 13/11/2024
Director/Board Member - 31/08/2022
Change 5d. change 1-year change 3-years change Capi.($)
+0.97%+3.45%+16.45%+25.69% 4.14B
Average +0.97%+2.45%+16.45%+25.69% 4.14B
Weighted average by Cap. +0.97%+2.45%+16.45%+25.69%

Financials

2024 2025
Net sales 583M 784M 669M 618M 1.09B 73B 1.11B 7.28B 2.84B 35.04B 2.94B 2.88B 125B 67.11M 90.32M 77.06M 71.21M 125M 8.41B 128M 838M 327M 4.04B 339M 332M 14.39B
Net income 552M 743M 634M 586M 1.03B 69.16B 1.05B 6.9B 2.69B 33.2B 2.79B 2.73B 118B 33.99M 45.74M 39.03M 36.06M 63.33M 4.26B 64.79M 424M 166M 2.04B 172M 168M 7.29B
Net Debt -39.8M -53.56M -45.7M -42.23M -74.16M -4.98B -75.87M -497M -194M -2.39B -201M -197M -8.53B -20.2M -27.19M -23.19M -21.43M -37.64M -2.53B -38.51M -252M -98.47M -1.21B -102M -99.85M -4.33B
Logo JPMorgan Global Growth & Income plc
JPMorgan Global Growth & Income PLC is a United Kingdom-based closed-ended investment company. The Company's investment objective is to achieve superior total returns from the world stock markets. In order to achieve the investment objective and to seek to manage risk, the Company invests in a diversified portfolio of companies. Its investment policy is to invest in a diversified portfolio of approximately 50-90 world stocks in which the investment manager has a high degree of conviction, to achieve superior total returns and outperform the Morgan Stanley Capital International (MSCI) All Countries World Index (in sterling terms) over the long-term. Its portfolio construction is driven by bottom-up stock selection rather than geographical or sector allocation. It invests in various sectors, such as technology - semi and hardware, media, technology - software, financial services, banks, retail and insurance. The Company's investment manager is JPMorgan Asset Management (UK) Limited.
Employees
-
Date Price Change Volume
10/04/26 570.00 p +0.97% 1,508,521
09/04/26 564.50 p -0.44% 1,194,680
08/04/26 567.00 p +3.09% 1,416,110
07/04/26 550.00 p -0.18% 1,837,542
02/04/26 551.00 p -0.54% 1,744,539