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Valuation: Value and Indexed Property Income Trust Plc

Market Cap 87.22M 117M 101M 92.97M 164M 11.08B 165M 1.1B 429M 5.42B 440M 431M 18.77B P/E Ratio 2026
16.4x
P/E Ratio 2027 * 10.6x
Enterprise Value 132M 178M 153M 141M 248M 16.78B 251M 1.66B 650M 8.22B 666M 652M 28.43B EV / Sales 2026
8.37x
EV / Sales 2027 * 14x
Free-Float
37.7%
Yield 2026 *
7.03%
Yield 2027 * 7.21%
1 week+1.74%
Current month+2.12%
1 month-0.49%
3 months+5.94%
6 months+2.37%
Current year+0.74%
1 week 190.5
Extreme 190.5
207
1 month 190.5
Extreme 190.5
217
Current year 180
Extreme 180
220
1 year 180
Extreme 180
220
3 years 160
Extreme 160
220
5 years 160
Extreme 160
275
10 years 148
Extreme 148
296
Director TitleAgeSince
Director/Board Member 79 31/03/2007
Chairman 78 -
Director/Board Member 79 09/07/2009
Date Insider Type Main position Quantity % Market Cap.
12-04Sell

Director

2,500,000 6.1712%
22/07/24Buy

Director

13,500 0.0318%
20/12/23Others

Director

320,000 0.7485%
Change 5-day change 1-year change 3-year change Capi.($)
0.00%+1.74%+0.12%-1.44% 117M
Average 0.00%+5.67%+0.12%-1.44% 117.2M
Weighted average by Cap. 0.00%+5.67%+0.12%-1.44%

Financials

2026 2027 *
Net sales 9.15M 12.3M 10.6M 9.75M 17.19M 1.16B 17.36M 115M 45.04M 569M 46.14M 45.17M 1.97B 10.15M 13.64M 11.76M 10.82M 19.07M 1.29B 19.26M 128M 49.96M 631M 51.19M 50.1M 2.18B
Net income 5.65M 7.59M 6.54M 6.02M 10.61M 718M 10.72M 71.2M 27.81M 351M 28.49M 27.89M 1.22B 7.85M 10.55M 9.09M 8.37M 14.75M 997M 14.89M 98.92M 38.64M 488M 39.59M 38.75M 1.69B
Net Debt 44.9M 60.34M 52M 47.86M 84.34M 5.7B 85.18M 566M 221M 2.79B 226M 222M 9.66B 54.45M 73.17M 63.07M 58.04M 102M 6.92B 103M 686M 268M 3.39B 275M 269M 11.72B
Logo Value and Indexed Property Income Trust Plc
Value and Indexed Property Income Trust PLC is a United Kingdom-based real estate investment trust. The Company invests directly in United Kingdom commercial property to deliver long, index-related income. The Company’s objective is to achieve long-term, real growth in dividends and capital value without undue risk. The Company’s policy is to invest in directly held United Kingdom commercial property and cash or near cash securities. The Company will not invest in overseas property or securities or in unquoted companies. The United Kingdom directly held commercial property will usually account for at least 80% of the total portfolio, but it may fall below that level if relative market levels and investment value, or a desired increase in cash or near cash securities, make it appropriate. Its investment manager is OLIM Property Limited.
Employees
-
Date Price Change Volume
16/06/26 205.00 p 0.00% 38,649
15/06/26 205.00 p +4.73% 27,470
12/06/26 195.75 p +2.22% 25,244
11/06/26 191.50 p -0.65% 5,964
10/06/26 192.75 p -4.34% 59,339
Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
1
Last Close Price
2.050GBP
Average target price
1.990GBP
Spread / Average Target
-2.93%

Annual profits - Rate of surprise

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