Valuation: The Global Smaller Companies Trust PLC

Capitalization 799M 1.08B 918M 845M 1.48B 100B 1.51B 9.89B 3.88B 48.61B 4.07B 3.98B 171B P/E ratio 2024
12.2x
P/E ratio 2025 -16.4x
Enterprise value 838M 1.14B 962M 885M 1.55B 105B 1.58B 10.37B 4.07B 50.96B 4.26B 4.17B 180B EV / Sales 2024
11x
EV / Sales 2025 -20.1x
Free-Float
-
Yield 2024
1.75%
Yield 2025 2.02%
1 day+2.14%
1 week+2.80%
Current month+8.67%
1 month+5.89%
3 months+3.14%
6 months+15.38%
Current year+7.68%
1 week 182.6
Extreme 182.6
191.66
1 month 169.06
Extreme 169.06
191.66
Current year 169.06
Extreme 169.06
194.6
1 year 143
Extreme 143
194.6
3 years 128.2
Extreme 128.2
194.6
5 years 122
Extreme 122
194.6
10 years 76.65
Extreme 76.65
194.6
Director TitleAgeSince
Director/Board Member - 30/09/2019
Chairman 64 14/08/2025
Director/Board Member 58 30/11/2023
Change 5d. change 1-year change 3-years change Capi.($)
+2.14%+2.80%+31.45%+30.19% 1.08B
Average +2.14%+2.80%+31.45%+30.19% 1.08B
Weighted average by Cap. +2.14%+2.80%+31.45%+30.19%

Financials

2024 2025
Net sales 75.65M 103M 86.87M 79.93M 140M 9.49B 143M 936M 367M 4.6B 385M 377M 16.21B -35.01M -47.46M -40.21M -36.99M -64.89M -4.39B -66.03M -433M -170M -2.13B -178M -174M -7.5B
Net income 67.59M 91.63M 77.62M 71.42M 125M 8.48B 127M 836M 328M 4.11B 344M 337M 14.49B -42.58M -57.72M -48.9M -44.99M -78.91M -5.34B -80.3M -527M -207M -2.59B -217M -212M -9.13B
Net Debt 40.44M 54.82M 46.44M 42.73M 74.95M 5.07B 76.27M 500M 196M 2.46B 206M 201M 8.67B 38.56M 52.27M 44.28M 40.74M 71.46M 4.84B 72.72M 477M 187M 2.34B 196M 192M 8.26B
Logo The Global Smaller Companies Trust PLC
The Global Smaller Companies Trust PLC is a United Kingdom-based investment trust. The Company's objective is to secure a high total return by investing in smaller companies worldwide. The Company seeks to create a portfolio avoiding over exposure to any one company, sector, or market. The Company is suitable for retail investors in the United Kingdom, professionally advised private clients and institutional investors who seek growth over the long term and who understand and are willing to accept the risks, as well as the rewards, of exposure to smaller companies. The Company's investment portfolio includes sectors, such as industrials, collective investments, financials, consumer discretionary, technology, healthcare, basic materials, consumer staples, real estate, energy, telecommunications, and utilities. The Company's investment manager is Columbia Threadneedle Investment Business Limited.
Employees
-
Date Price Change Volume
17/04/26 190.60 p +2.14% 328,805
16/04/26 186.60 p +0.54% 322,905
15/04/26 185.60 p -1.17% 222,705
14/04/26 187.80 p +1.95% 506,203
13/04/26 184.20 p -0.65% 462,051