Valuation: Liontrust Asset Management PLC

Capitalization 168M 223M 192M 176M 307M 21.41B 312M 2.11B 815M 10.16B 837M 819M 35.41B P/E ratio 2026 *
18.1x
P/E ratio 2027 * 12.9x
Enterprise value 111M 148M 127M 116M 204M 14.19B 207M 1.4B 540M 6.74B 555M 543M 23.47B EV / Sales 2026 *
0.84x
EV / Sales 2027 * 0.86x
Free-Float
89.06%
Yield 2026 *
7.03%
Yield 2027 * 7.21%
1 day-1.76%
1 week+3.91%
Current month+5.48%
1 month+9.20%
3 months+7.93%
6 months-5.74%
Current year+5.08%
1 week 254.5
Extreme 254.5
285
1 month 250
Extreme 250
285
Current year 223
Extreme 223
285
1 year 223
Extreme 223
419.5
3 years 223
Extreme 223
865
5 years 223
Extreme 223
2,560.05
10 years 223
Extreme 223
2,560.05
Manager TitleAgeSince
Chief Executive Officer 60 31/01/2010
Director of Finance/CFO 60 31/12/1994
Chief Operating Officer - 31/03/2024
Director TitleAgeSince
Director/Board Member 60 31/08/2004
Director/Board Member 60 30/04/2011
Director/Board Member 53 30/09/2019
Change 5d. change 1-year change 3-years change Capi.($)
-1.76%+3.91%-24.70%-64.71% 223M
-3.73%-4.75%-19.67%+41.81% 92.6B
-2.42%-5.41%-22.82%+97.45% 87.07B
-3.98%-2.25%-26.85%+48.20% 27.83B
-1.16%+0.30%+14.43%+37.63% 20.04B
-4.04%-5.16%+2.17%+79.31% 17.29B
-3.38%-1.08% - - 16.47B
-1.61%+2.51%+43.51%+29.87% 16.54B
-0.21%-0.58%-12.78%+2.77% 13.57B
+0.44%-5.27%+14.98%+193.45% 12.07B
Average -2.18%-0.66%-3.52%+51.76% 30.37B
Weighted average by Cap. -2.77%-3.01%-12.21%+65.02%

Financials

2026 *2027 *
Net sales 132M 176M 152M 139M 242M 16.9B 246M 1.66B 643M 8.02B 661M 647M 27.94B 129M 171M 147M 135M 236M 16.44B 240M 1.62B 626M 7.8B 643M 629M 27.19B
Net income 10.8M 14.39M 12.38M 11.32M 19.8M 1.38B 20.13M 136M 52.55M 655M 53.99M 52.84M 2.28B 15.4M 20.52M 17.65M 16.14M 28.23M 1.97B 28.7M 194M 74.93M 934M 76.99M 75.34M 3.26B
Net Debt -56.49M -75.25M -64.75M -59.2M -104M -7.22B -105M -710M -275M -3.43B -282M -276M -11.94B -57.03M -75.97M -65.38M -59.77M -105M -7.29B -106M -717M -278M -3.46B -285M -279M -12.06B
Logo Liontrust Asset Management PLC
Liontrust Asset Management PLC is a United Kingdom-based holding company. The Company is engaged in a specialist fund management business. The Company, through its subsidiaries, Liontrust Fund Partners LLP, is engaged in managing unit trusts; Liontrust Investment Partners LLP and Liontrust Portfolio Management Limited, provides investment management services to professional investors directly, through investment consultants and through other professional advisers; and Liontrust International (Luxembourg) S.A., is engaged in distribution business. It invests on behalf of its clients, such as institutional investors, professional intermediaries and private investors who are primarily, but not exclusively, based in the United Kingdom and Europe. These investments are managed through funds, portfolios, and segregated accounts. These assets are invested with the objective of delivering long-term performance to help its clients to achieve their investment goals.
Employees
182
Date Price Change Volume
15/05/26 279.00 p -1.76% 123,411
14/05/26 284.00 p +3.65% 82,713
13/05/26 274.00 p +1.11% 95,035
12/05/26 271.00 p -2.69% 112,740
11/05/26 278.50 p +3.72% 233,865
Trader
Investor
Global
Quality
ESG MSCI
A
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
8
Last Close Price
2.790GBP
Average target price
3.580GBP
Spread / Average Target
+28.32%

Annual profits - Rate of surprise