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Valuation: Athelney Trust plc

Market Cap 35.61L 47.85L 41.24L 37.95L 66.88L 45Cr 67.55L 4.49Cr 1.75Cr 22Cr 1.8Cr 1.76Cr 77Cr P/E Ratio 2024
-13.3x
P/E Ratio 2025 -24.9x
Enterprise Value 34.42L 46.26L 39.87L 36.69L 64.66L 44Cr 65.31L 4.34Cr 1.69Cr 21Cr 1.74Cr 1.7Cr 74Cr EV / Sales 2024
-34.5x
EV / Sales 2025 -66,198x
Free-Float
42.82%
Yield 2024
5.66%
Yield 2025 6.06%
1 week 165
Extreme 165
165
1 month 148.56
Extreme 148.555
185
Current year 116.4
Extreme 116.4
185
1 year 116.4
Extreme 116.4
220
3 years 116.4
Extreme 116.4
220
5 years 116.4
Extreme 116.4
259
10 years 116.4
Extreme 116.4
289
Manager TitleAgeSince
Chief Executive Officer 73 01/10/2018
Corporate Secretary - -
Director TitleAgeSince
Chairman 73 02/06/2015
Chairman - 01/10/2018
Chairman 64 11/02/2019
Date Insider Type Main position Quantity % Market Cap.
04/20/04SellCompany 2,835 0.1314%
11/20/11Buy

Chairman

2,234 0.1035%
Change 5-day change 1-year change 3-year change Capi.($)
0.00%0.00%0.00%-15.38% 47.79L
Average 0.00%0.00%0.00%-15.38% 47.79L
Weighted average by Cap. 0.00%0.00%0.00%-15.38%

Financials

2024 2025
Net sales -1L -1L -1L -1L -2L -1.37Cr -2L -13.62L -5L -67.2L -5L -5L -2.33Cr -52 -69.88 -60.23 -55.43 -97.68 -6.6T -98.65 -655.3 -255.97 -3.23T -262.23 -256.68 -11.19T
Net income -3L -4L -3L -3L -5L -3.6Cr -5L -35.68L -13.94L -1.76Cr -14.28L -13.98L -6.09Cr -1L -2L -2L -2L -3L -1.81Cr -3L -18L -7L -88.85L -7L -7L -3.07Cr
Net Debt -43.67T -58.68T -50.58T -46.55T -82.03T -55.46L -82.85T -6L -2L -27.16L -2L -2L -93.98L -1L -2L -1L -1L -2L -1.5Cr -2L -14.89L -6L -73.51L -6L -6L -2.54Cr
Logo Athelney Trust plc
Athelney Trust plc is a United Kingdom-based investment company. The investment objective of the Company is to provide shareholders with prospects of long-term capital growth with the risks inherent in small cap investment minimized through a spread of holdings over various industries and sectors. The assets of the Company are allocated predominantly to companies with either a full listing on the London Stock Exchange or a trading facility on the Alternative Investment Market (AIM) or Aquis Stock Exchange (AQSE). The Company's portfolio includes investments in various sectors, such as chemicals, food and beverages, general financial, leisure goods, media, mobile communications, multiutilities, property, commercial and residential, support services, technology and travel and leisure. The Company's portfolio includes listings, such as small caps, cash, AIM and others.
Employees
1
Date Price Change Volume
15/26/15 165.00 p 0.00% 0
12/26/12 165.00 p 0.00% 0
11/26/11 165.00 p 0.00% 0
10/26/10 165.00 p 0.00% 0
09/26/09 165.00 p 0.00% 0
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