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Valuation: Prudential plc

Market Cap 2.52TCr 58TCr 3.39TCr 2.92TCr 2.69TCr 4.73TCr 3,20000Cr 4.78TCr 32TCr 12TCr 1,56700Cr 13TCr 12TCr 5,42300Cr P/E Ratio 2026 *
11.5x
P/E Ratio 2027 * 9.14x
Enterprise Value 2.52TCr 58TCr 3.39TCr 2.92TCr 2.69TCr 4.73TCr 3,20000Cr 4.78TCr 32TCr 12TCr 1,56700Cr 13TCr 12TCr 5,42300Cr EV / Sales 2026 *
1.37x
EV / Sales 2027 * 1.23x
Free-Float
99.7%
Yield 2026 *
2.23%
Yield 2027 * 2.46%
1 year 256.76
Extreme 256.76
256.76
3 years 160.84
Extreme 160.84
256.76
5 years 160.84
Extreme 160.84
256.76
10 years 160.84
Extreme 160.84
256.76
Manager TitleAgeSince
Chief Executive Officer 57 25/02/2023
Director of Finance/CFO - 31/05/2023
Chief Operating Officer 58 01/05/2024
Director TitleAgeSince
Director/Board Member 68 01/01/2020
Director/Board Member 66 12/05/2021
Director/Board Member 67 12/05/2021
Change 5-day change 1-year change 3-year change Capi.($)
+59.64%-.--% - - 3.39TCr
+0.41%+1.59%-0.46%+12.00% 14TCr
-1.18%+6.48%+9.96%-7.52% 10TCr
+2.50%+5.49%+0.62%+57.59% 9.99TCr
0.00%+4.99%+35.92%+121.52% 7.27TCr
+1.15%+5.01%+34.55%+123.15% 6.8TCr
-0.71%+1.49%+14.46%+67.66% 5.95TCr
-1.33%+3.89%+13.33%+58.92% 5.64TCr
+2.29%+6.43%+66.63%+121.96% 5.48TCr
+3.48%+9.47%+50.72%+134.50% 4.84TCr
Average +6.62%+2.89%+25.08%+76.64% 7.79TCr
Weighted average by Cap. +3.35%+3.02%+19.52%+63.38%

Financials

2026 *2027 *
Net sales 1.84TCr 43TCr 2.47TCr 2.13TCr 1.96TCr 3.46TCr 2,33800Cr 3.49TCr 23TCr 9.06TCr 1,14500Cr 9.28TCr 9.09TCr 3,96100Cr 2.05TCr 47TCr 2.75TCr 2.37TCr 2.18TCr 3.85TCr 2,60200Cr 3.89TCr 26TCr 10TCr 1,27400Cr 10TCr 10TCr 4,40900Cr
Net income 233.48Cr 5.4TCr 313.76Cr 270.43Cr 248.88Cr 438.58Cr 30TCr 442.96Cr 2.94TCr 1.15TCr 15TCr 1.18TCr 1.15TCr 50TCr 261.39Cr 6.04TCr 351.26Cr 302.75Cr 278.63Cr 491.01Cr 33TCr 495.91Cr 3.29TCr 1.29TCr 16TCr 1.32TCr 1.29TCr 56TCr
Net Debt - -
Logo Prudential plc
Prudential plc is a financial services group organized around 2 areas of activity: - life and health insurance (96.9% of revenues): sales of savings, retirement, pre-planning, and health plans. Revenue is distributed by country between Hong Kong (35.8%), Singapore (21.7%), Malaysia (12.4%), Indonesia (11.3%) and other (18.8%); - asset management (3.1%; Eastspring): USD 258 billion of funds under management in 2024.
Employees
15,338
Trader
Investor
-
Global
-
Quality
ESG MSCI
AA
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
14
Last Close Price
10.06GBP
Average target price
14.10GBP
Spread / Average Target
+40.20%

Quarterly revenue - Rate of surprise

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