Valuation: New Star Investment Trust plc

Market Cap 96.59M 131M 113M 106M 182M 12.51B 185M 1.24B 487M 6.27B 491M 481M 20.82B P/E 2024
6.36x
P/E 2025 27.2x
Enterprise Value 78.37M 106M 91.71M 86.18M 147M 10.15B 150M 1.01B 395M 5.08B 399M 390M 16.9B EV / Sales 2024
4.89x
EV / Sales 2025 13.3x
Free-Float
26.47%
Yield 2024
2.59%
Yield 2025 3.23%
1 day+0.93%
1 week+1.65%
Current month+2.74%
1 month+3.11%
3 months+8.58%
6 months+13.30%
Current year+15.58%
1 week 138
Extreme 138
145
1 month 135
Extreme 135
145
Current year 119
Extreme 119
145
1 year 108
Extreme 108
145
3 years 96
Extreme 96
150
5 years 96
Extreme 96
150
10 years 85.5
Extreme 85.5
150
Director TitleAgeSince
Chairman 82 13/05/2009
Director/Board Member 87 05/04/2000
Director/Board Member 82 16/11/2017
Change 5-day change 1-year change 3-year change Capi.($)
+0.93%+1.65%+30.29%+23.55% 137M
Average +0.93%+2.90%+30.29%+23.55% 136.64M
Weighted average by Cap. +0.93%+2.90%+30.29%+23.55%

Financials

2024 2025
Net sales 15.83M 21.45M 18.52M 17.41M 29.76M 2.05B 30.25M 204M 79.75M 1.03B 80.53M 78.78M 3.41B 4.51M 6.11M 5.28M 4.96M 8.48M 585M 8.62M 58.14M 22.73M 293M 22.96M 22.46M 973M
Net income 14.68M 19.89M 17.18M 16.15M 27.61M 1.9B 28.06M 189M 73.97M 953M 74.69M 73.07M 3.17B 2.87M 3.89M 3.36M 3.16M 5.4M 372M 5.48M 36.98M 14.46M 186M 14.6M 14.28M 619M
Net Debt -16.01M -21.69M -18.73M -17.6M -30.1M -2.07B -30.59M -206M -80.64M -1.04B -81.43M -79.66M -3.45B -18.22M -24.68M -21.32M -20.03M -34.25M -2.36B -34.82M -235M -91.78M -1.18B -92.68M -90.67M -3.93B
Logo New Star Investment Trust plc
New Star Investment Trust PLC is a United Kingdom-based investment company. The Company’s investment objective is to achieve long-term capital growth. The Company's investment policy is to allocate assets to global investment opportunities through investment in equity, bond, commodity, real estate, currency and other markets. The Company’s assets may have significant weightings to any one asset class or market, including cash. The Company will invest in pooled investment vehicles, exchange traded funds, futures, options, limited partnerships and direct investments in relevant markets. It may invest up to 15% of its net assets in direct investments in relevant markets. It may invest up to 20% of its net asset value in unlisted securities, such values being assessed at the time of investment. It will not invest more than 15% of its net assets in any single investment, such values being assessed at the time of investment. Its investment manager is Brompton Asset Management Limited.
Employees
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Date Price Change Volume
17/08/26 GBX 143.32 +0.93% 7,140
14/08/26 GBX 142.00 +0.71% 2,007
13/08/26 GBX 141.00 0.00% 100,320
12/08/26 GBX 141.00 0.00% 1,425
11/08/26 GBX 141.00 0.00% 2,032