Valuation: The Monks Investment Trust PLC

Capitalization 2.32B 3.11B 2.68B 2.42B 4.23B 285B 4.43B 28.57B 11.45B 137B 11.65B 11.41B 489B P/E ratio 2024
6.51x
P/E ratio 2025 -137x
Enterprise value 2.52B 3.38B 2.91B 2.63B 4.6B 310B 4.81B 31.06B 12.44B 149B 12.67B 12.4B 532B EV / Sales 2024
6.35x
EV / Sales 2025 308x
Free-Float
78.05%
Yield 2024
0.18%
Yield 2025 0.04%
1 day-0.28%
1 week-4.99%
Current month-5.37%
1 month-2.82%
3 months-0.41%
6 months+3.29%
Current year-3.60%
1 week 1,420
Extreme 1420
1,518
1 month 1,420
Extreme 1420
1,534
Current year 1,420
Extreme 1420
1,560
1 year 984.03
Extreme 984.03
1,560
3 years 880
Extreme 880
1,560
5 years 875
Extreme 875
1,560
10 years 396.9
Extreme 396.9
1,560
Director TitleAgeSince
Director/Board Member 68 27/09/2016
Director/Board Member 70 08/03/2017
Director/Board Member 58 30/04/2020
Change 5d. change 1-year change 3-years change Capi.($)
-0.28%-4.99%+16.99%+44.46% 3.09B
Average -0.28%-4.73%+16.99%+44.46% 3.09B
Weighted average by Cap. -0.28%-4.73%+16.99%+44.46%

Financials

2024 2025
Net sales 419M 561M 484M 437M 765M 51.6B 800M 5.17B 2.07B 24.74B 2.11B 2.06B 88.5B 7.6M 10.18M 8.77M 7.92M 13.86M 935M 14.5M 93.62M 37.51M 448M 38.19M 37.37M 1.6B
Net income 398M 533M 460M 415M 726M 49.02B 760M 4.91B 1.97B 23.51B 2B 1.96B 84.07B -16.75M -22.44M -19.34M -17.46M -30.55M -2.06B -31.97M -206M -82.7M -989M -84.2M -82.41M -3.54B
Net Debt 185M 247M 213M 192M 337M 22.71B 352M 2.27B 911M 10.89B 927M 908M 38.95B 202M 270M 233M 210M 368M 24.83B 385M 2.49B 996M 11.91B 1.01B 993M 42.59B
Logo The Monks Investment Trust PLC
The Monks Investment Trust PLC is a United Kingdom-based investment trust. The Company aims to deliver above average long-term returns for shareholders by keeping fees and costs low and harnessing the long-term growth potential of companies. The Company's objective is to invest globally to achieve capital growth. It seeks to meet its objective by investing principally in a portfolio of global quoted equities. The number of holdings in equities typically ranges from 70-200. Its portfolio contained 123 equity holdings. The Company holds a portfolio across geographic sectors, such as the United Kingdom, Continental Europe, North America, Japan, Asia and other emerging markets. Its portfolio of securities is distributed across several sectors, including oil and gas, basic materials, industrials, consumer goods, healthcare, consumer services, financials, telecommunications and technology.
Employees
600
Date Price Change Volume
06/03/26 1,446.00 p -0.28% 455,422
05/03/26 1,450.00 p -1.36% 252,400
04/03/26 1,470.00 p +0.68% 774,376
03/03/26 1,460.00 p -2.93% 475,851
02/03/26 1,504.00 p -1.57% 245,098