Valuation: The Bankers Investment Trust PLC

Capitalization 1.27B 1.72B 1.47B 1.37B 2.36B 148B 2.64B 16.41B 6.24B 68.98B 6.46B 6.33B 252B P/E ratio 2023
18.4x
P/E ratio 2024 5.73x
Enterprise value 1.29B 1.75B 1.5B 1.4B 2.4B 150B 2.69B 16.71B 6.36B 70.25B 6.58B 6.44B 257B EV / Sales 2023
15.8x
EV / Sales 2024 5.3x
Free-Float
99.14%
Yield 2023
2.74%
Yield 2024 2.43%
More valuation ratios * Estimated data
Dynamic Chart

Last Transcript: The Bankers Investment Trust PLC

1 day+0.57%
1 week+0.33%
Current month+1.00%
1 month+3.22%
3 months+17.79%
6 months+3.75%
Current year+5.91%
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1 week 120.4
Extreme 120.4
122.6
1 month 114.6
Extreme 114.6
122.6
Current year 94.1
Extreme 94.1
126.6
1 year 94.1
Extreme 94.1
126.6
3 years 90.88
Extreme 90.884
126.6
5 years 89.85
Extreme 89.85
126.6
10 years 52.2
Extreme 52.2
126.6
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Director TitleAgeSince
Director/Board Member 67 31/03/2020
Chairman 72 23/02/2022
Director/Board Member - 31/10/2022
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Change 5d. change 1-year change 3-years change Capi.($)
-0.33%+0.33%+5.73%+20.36% 1.73B
+0.24%+1.07%+16.72%+34.54% 16.25B
+0.72%+0.36%+10.61%+35.99% 7.29B
+0.16%+0.48%+2.30%+32.91% 6.66B
+0.82%+1.37%+9.47%+91.51% 5.77B
+0.18%0.00%-5.02%+30.09% 4.31B
-1.03%-1.54%+1.27%-22.51% 3.66B
+0.33%+0.75%-11.68%-20.46% 3.65B
+0.15%+0.62%+10.30%+35.13% 3.27B
+0.31%+0.83%+14.40%+21.37% 3.26B
Average +0.35%+0.45%+5.41%+25.89% 5.58B
Weighted average by Cap. +0.48%+0.75%+8.06%+31.57%
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Financials

2023 2024
Net sales 79.13M 107M 91.81M 85.56M 147M 9.21B 165M 1.02B 390M 4.3B 403M 395M 15.75B 244M 331M 283M 264M 454M 28.42B 508M 3.16B 1.2B 13.28B 1.24B 1.22B 48.57B
Net income 64.56M 87.69M 74.9M 69.8M 120M 7.52B 134M 835M 318M 3.51B 329M 322M 12.85B 230M 312M 267M 249M 428M 26.77B 478M 2.98B 1.13B 12.51B 1.17B 1.15B 45.77B
Net Debt 97.26M 132M 113M 105M 181M 11.32B 202M 1.26B 479M 5.29B 496M 485M 19.36B 23.52M 31.94M 27.29M 25.43M 43.77M 2.74B 48.93M 304M 116M 1.28B 120M 117M 4.68B
More financial data * Estimated data
Logo The Bankers Investment Trust PLC
The Bankers Investment Trust PLC is an investment company. The Company’s investment objective aims to achieve capital growth in excess of the Financial Times Stock Exchange (FTSE) World Index and dividend growth greater than inflation, as measured by the United Kingdom Consumer Price Index (CPI), by investing in companies listed throughout the world. It invests in equities, debt securities and cash management, investment trusts, collective funds, and derivatives. It invests in various sectors, such as technology, industrials, financials, consumer discretionary, health care, consumer staples, telecoms, energy, basic materials, real estate, and utilities. Janus Henderson Fund Management UK Limited is an alternative investment fund manager of the Company. Its portfolio of investments across various countries includes North America, Europe, United Kingdom, Japan, and Pacific Regio. Janus Henderson Fund Management UK Limited is an alternative investment fund manager of the Company.
Employees
-
More about the company
Date Price Change Volume
09/07/25 121.80 p -0.33% 1,758,087
08/07/25 122.20 p +0.66% 1,617,057
07/07/25 121.40 p -0.49% 1,314,551
04/07/25 122.00 p 0.00% 1,547,244
03/07/25 122.00 p +0.49% 1,500,828

Delayed Quote London S.E., July 09, 2025 at 04:35 pm

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Sell
Consensus
Buy
Mean consensus
UNDERPERFORM
Number of Analysts
1
Last Close Price
1.222
Average target price
-
Consensus