Valuation: Premier Miton Group plc

Capitalization 58.31M 79.57M 67.52M 61.84M 109M 7.58B 110M 733M 286M 3.61B 299M 292M 12.49B P/E ratio 2026 *
-123x
P/E ratio 2027 * 14.8x
Enterprise value 32.52M 44.39M 37.67M 34.49M 60.66M 4.23B 61.15M 409M 160M 2.01B 167M 163M 6.97B EV / Sales 2026 *
0.59x
EV / Sales 2027 * 0.63x
Free-Float
82.45%
Yield 2026 *
16.2%
Yield 2027 * 16.2%
1 day+1.31%
1 week+3.40%
Current month+2.70%
1 month-15.29%
3 months-17.62%
6 months-33.06%
Current year-30.59%
1 week 36
Extreme 36
37.5
1 month 36
Extreme 36
45
Current year 36
Extreme 36
60
1 year 36
Extreme 36
78
3 years 36
Extreme 36
95
5 years 36
Extreme 36
207
10 years 36
Extreme 36
312
Manager TitleAgeSince
Chief Executive Officer 64 31/10/2019
Director of Finance/CFO 47 13/11/2019
Sales & Marketing - 31/10/2022
Director TitleAgeSince
Director/Board Member 64 31/10/2019
Director/Board Member 47 13/11/2019
Director/Board Member 63 13/05/2020
Change 5d. change 1-year change 3-years change Capi.($)
+1.31%+3.40%-34.47%-59.48% 79.57M
-1.91%-1.37%-12.91%+45.77% 95.36B
-2.98%-3.75%-15.77%+104.61% 89.3B
-1.30%+3.86%-24.46%+52.91% 28.1B
-0.35%+2.46%+15.09%+39.43% 20.52B
-2.31%-1.02%+17.65%+87.24% 17.8B
+1.61%+6.23%+50.67%+28.67% 16.39B
-1.74%-2.61%-11.30%+2.47% 13.41B
-4.16%-6.18%+16.26%+188.95% 12.35B
+4.59%+22.22%+35.60%+68.06% 9.38B
Average -0.30%+3.28%+3.64%+55.86% 30.27B
Weighted average by Cap. -1.08%+0.13%-4.92%+69.46%

Financials

2026 *2027 *
Net sales 54.98M 75.04M 63.68M 58.32M 103M 7.15B 103M 692M 270M 3.4B 282M 276M 11.78B 56M 76.43M 64.85M 59.39M 104M 7.28B 105M 704M 275M 3.47B 287M 281M 12B
Net income -367K -500K -425K -389K -684K -47.67M -689K -4.61M -1.8M -22.71M -1.88M -1.84M -78.57M 5M 6.82M 5.79M 5.3M 9.33M 650M 9.4M 62.89M 24.55M 310M 25.6M 25.06M 1.07B
Net Debt -25.78M -35.18M -29.86M -27.34M -48.09M -3.35B -48.47M -324M -127M -1.6B -132M -129M -5.52B -22.76M -31.06M -26.35M -24.13M -42.44M -2.96B -42.78M -286M -112M -1.41B -117M -114M -4.88B
Logo Premier Miton Group plc
Premier Miton Group plc is a United Kingdom-based fund management company. The Company offers a range of funds and investment trusts, as well as a portfolio management service, covering equity, fixed income, multi asset and absolute return investment strategies. The Company’s product portfolio includes equity funds, fixed income funds, multi asset fund, and absolute return fund. It offers a range of genuinely active equity strategies that cover single country, regional and global investment areas, with access to different market capitalization and investment styles. The Company’s multi asset and multi manager absolute return funds offer actively managed solutions with one clear objective: to make positive returns in any condition over rolling three-year periods. Its Fixed income investments include corporate bond, strategic bond, financials and money market funds.
Employees
155
Date Price Change Volume
12/05/26 37.48 p +1.31% 43,976
11/05/26 37.00 p 0.00% 138,255
08/05/26 37.00 p -0.67% 286,477
07/05/26 37.25 p +0.68% 584,872
06/05/26 37.00 p +2.07% 350,217
Trader
Investor
Global
Quality
ESG MSCI
A
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
6
Last Close Price
0.3700GBP
Average target price
0.6083GBP
Spread / Average Target
+64.41%

Annual profits - Rate of surprise