Valuation: Polar Capital Holdings Plc

Capitalization 599M 816M 688M 628M 1.11B 73.91B 1.15B 7.28B 2.89B 35.66B 3.06B 3B 125B P/E ratio 2026 *
10.5x
P/E ratio 2027 * 9.93x
Enterprise value 475M 648M 546M 498M 881M 58.62B 913M 5.78B 2.3B 28.29B 2.43B 2.38B 98.93B EV / Sales 2026 *
2x
EV / Sales 2027 * 1.9x
Free-Float
84.96%
Yield 2026 *
7.37%
Yield 2027 * 7.53%
1 day+1.46%
1 week-0.95%
Current month+5.58%
1 month+12.84%
3 months+10.64%
6 months+27.61%
Current year+17.29%
1 week 609
Extreme 609
642
1 month 542
Extreme 542
642
Current year 525
Extreme 525
642
1 year 340.5
Extreme 340.5
642
3 years 340.5
Extreme 340.5
642
5 years 340.5
Extreme 340.5
951
10 years 262
Extreme 262
951
Manager TitleAgeSince
Chief Executive Officer 56 24/09/2025
Director of Finance/CFO 48 31/05/2019
Chief Tech/Sci/R&D Officer - 31/12/2003
Director TitleAgeSince
Director/Board Member 56 24/09/2025
Director/Board Member 70 21/06/2017
Director/Board Member 56 24/07/2018
Change 5d. change 1-year change 3-years change Capi.($)
+1.46%-0.95%+24.92%+17.51% 806M
-2.52%-1.91%+6.82%+45.90% 168B
-1.11%-7.39%+6.30%+61.49% 131B
+2.37%+3.41%+15.98%+100.40% 105B
-5.58%-5.28%+34.40%+123.56% 83.76B
-0.42%+4.23%-11.02%+52.84% 84.3B
-3.84%-14.34%-11.63%+33.62% 44.37B
-2.21%-2.62%-18.38%+100.31% 46.43B
-4.03%-4.33%+28.09%+36.43% 36.73B
-1.56%-4.37%+30.60%+47.42% 27.3B
Average -1.07%-0.90%+10.61%+61.95% 72.68B
Weighted average by Cap. -0.99%-0.24%+8.41%+68.57%

Financials

2026 *2027 *
Net sales 238M 324M 273M 249M 441M 29.34B 457M 2.89B 1.15B 14.16B 1.21B 1.19B 49.51B 242M 330M 278M 254M 449M 29.89B 465M 2.95B 1.17B 14.42B 1.24B 1.21B 50.43B
Net income 58.81M 80.11M 67.48M 61.62M 109M 7.25B 113M 715M 284M 3.5B 300M 294M 12.24B 64.9M 88.39M 74.46M 67.99M 120M 8B 125M 789M 313M 3.86B 331M 325M 13.5B
Net Debt -124M -169M -142M -130M -230M -15.28B -238M -1.51B -599M -7.38B -633M -620M -25.79B -140M -191M -161M -147M -259M -17.25B -269M -1.7B -676M -8.33B -714M -700M -29.12B
Logo Polar Capital Holdings Plc
Polar Capital Holdings PLC is a specialist, investment-led, fund management company. The Company offers professional and institutional investors a range of funds diversified by asset class, geographical and sectoral specialization. The Company is engaged in the provision of investment management and advisory services. The Company offers professional and institutional investors a range of geographical and sector investment opportunities. The Company maintains an operational infrastructure and system of risk control which in collaboration with third party service providers United Kingdom and internationally to professional and institutional investors through its digital platform with insightful content. It supports investment teams that manage a range of long-only and alternative products, including open-ended UCITS, US 40 Act mutual fund as well as closed-ended investment trust companies and alternative funds.
Employees
204
Date Price Change Volume
12/02/26 624.00 p +1.46% 312,332
11/02/26 615.00 p -3.61% 398,506
10/02/26 638.00 p +1.11% 309,525
09/02/26 631.00 p +1.77% 204,888
06/02/26 620.00 p -0.64% 201,600
Trader
Investor
Global
Quality
ESG MSCI
BBB
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
6
Last Close Price
6.240GBP
Average target price
6.958GBP
Spread / Average Target
+11.51%

Annual profits - Rate of surprise