Company Valuation: Mid Wynd International Investment Trust plc

Fiscal Period: Juni 2018 2019 2020 2021 2022 2023
Capitalization 1 185.3 232.1 307.7 462.6 453.3 429.8
Change - 25.27% 32.56% 50.33% -2.02% -5.19%
Enterprise Value (EV) 1 180.4 231.7 302.4 456 452.2 417.5
Change - 28.41% 30.54% 50.79% -0.85% -7.65%
P/E ratio 9.34x 8.54x 9.25x 5.31x -11x 18.7x
PBR 1.01x 1.03x 1x 1.02x 1x 0.96x
PEG - 0.3x -17.18x 0x 0x -0x
Capitalization / Revenue 9.74x 8.38x 9.5x 5.51x -12.7x 15.4x
EV / Revenue 9.48x 8.36x 9.34x 5.44x -12.7x 15x
EV / EBITDA - - - - - -
EV / EBIT 10x 8.77x 9.88x 5.59x -11.7x 16.7x
EV / FCF 14.2x 15.4x 17.7x 8.56x -12.3x 14x
FCF Yield 7.02% 6.49% 5.66% 11.7% -8.13% 7.15%
Dividend per Share 2 0.0555 0.0583 0.0612 0.064 0.072 0.078
Rate of return 1.11% 1.03% 1% 0.83% 1.04% 1.13%
EPS 2 0.5334 0.6652 0.6616 1.454 -0.6275 0.3687
Distribution rate 10.4% 8.76% 9.25% 4.4% -11.5% 21.2%
Net sales 1 19.03 27.71 32.38 83.9 -35.64 27.85
EBITDA - - - - - -
EBIT 1 17.96 26.43 30.61 81.56 -38.57 24.97
Net income 1 17.95 25.98 29.86 81.22 -39.32 24.05
Net Debt 1 -4.908 -0.487 -5.315 -6.607 -1.145 -12.24
Reference price 2 4.980 5.680 6.120 7.720 6.930 6.890
Nbr of stocks (in thousands) 37,211 40,871 50,284 59,925 65,411 62,378
Announcement Date 20/11/18 20/11/19 03/09/20 09/11/21 10/11/22 08/11/23
1GBP in Million2GBP
Estimates

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P/E ratio EV / Sales EV / EBITDA Yield (Y) Capi. ($)
-21.9x-20.96x - +7.10%4.17B
Average -21.90x -20.96x - +7.10% 4.17B
Weighted average by Cap. -21.90x -20.96x - +7.10%
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Year-on-year evolution of the PER

Historical PBR trend

Evolution Enterprise Value / Sales

Change in Enterprise Value/EBITDA

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