Valuation: 3i Group plc

Market Cap 27.19B 36.48B 31.91B 29.43B 51.58B 3,480B 52.45B 352B 138B 1,714B 137B 134B 5,893B P/E 2027 *
4.96x
P/E 2028 * 4.23x
Enterprise Value 28.49B 38.23B 33.44B 30.85B 54.06B 3,646B 54.97B 369B 145B 1,796B 144B 140B 6,176B EV / Sales 2027 *
5.05x
EV / Sales 2028 * 4.1x
Free-Float
97.87%
Yield 2027 *
3.5%
Yield 2028 * 3.9%
Manager TitleAgeSince
Chief Executive Officer 67 14/05/2012
Director of Finance/CFO - 30/06/2022
Director of Finance/CFO 55 -
Director TitleAgeSince
Director/Board Member 67 17/10/2011
Chairman 65 11/11/2021
Director/Board Member 62 01/11/2018
Change 5-day change 1-year change 3-year change Capi.($)
+2.13%+3.79% - - 36.48B
+1.61%+4.06%-5.95%+45.89% 161B
+0.43%+2.11%+47.79%+136.09% 158B
-0.22%+3.61%+62.10%+240.25% 104B
+1.57%+0.67%+7.63%+116.86% 97.91B
+1.30%+0.68%-13.82%+58.56% 74.76B
+0.03%+5.58%+64.49%+138.20% 49.88B
+1.32%+3.60%-5.51%+50.25% 45.56B
+0.38%+3.99%+45.78%+145.42% 33.97B
+1.28%0.00%+16.83%+3.18% 25.4B
Average +0.98%+2.37%+24.37%+103.86% 83.42B
Weighted average by Cap. +0.94%+2.51%+23.65%+111.89%

Financials

2027 *2028 *
Net sales 5.64B 7.57B 6.63B 6.11B 10.71B 722B 10.89B 73.02B 28.68B 356B 28.44B 27.82B 1,224B 6.99B 9.38B 8.2B 7.57B 13.26B 895B 13.48B 90.41B 35.51B 441B 35.22B 34.45B 1,515B
Net income 4.95B 6.64B 5.81B 5.36B 9.39B 633B 9.55B 64.03B 25.14B 312B 24.94B 24.39B 1,073B 6.25B 8.38B 7.33B 6.76B 11.86B 800B 12.05B 80.83B 31.74B 394B 31.48B 30.8B 1,354B
Net Debt 1.3B 1.75B 1.53B 1.41B 2.48B 167B 2.52B 16.87B 6.63B 82.25B 6.57B 6.43B 283B 1.45B 1.95B 1.7B 1.57B 2.75B 186B 2.8B 18.77B 7.37B 91.5B 7.31B 7.15B 315B
Logo 3i Group plc
3i Group plc is one of Europe's largest capital investment companies. At the end of March 2023, the group's portfolio had a market value of GBP 31.8 billion, broken down by type of operation as follows: - private equity (93.4%): investments in medium-sized enterprises, operating in the business and technology services, industry, health and consumer goods sectors, located primarily in Europe and North America. The group also manages funds on behalf of third parties; - investment in infrastructure assets (4.8%): activity insured primarily in Europe; - other (1.8%). The portfolio in value breaks down by type of participation between unlisted companies (96.9%) and listed companies (3.1%).
Employees
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Trader
Investor
Global
Quality
ESG MSCI
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