Valuation: Reaves Utility Income Fund

Market Cap 336.78Cr 288.58Cr 270.41Cr 247Cr 466.15Cr 32TCr 470.74Cr 3.19TCr 1.24TCr 16TCr 1.26TCr 1.24TCr 54TCr P/E 2024
3.3x
P/E 2025 4.51x
Enterprise Value 424.28Cr 363.56Cr 340.66Cr 311.18Cr 587.26Cr 40TCr 593.05Cr 4.02TCr 1.56TCr 20TCr 1.59TCr 1.56TCr 68TCr EV / Sales 2024
33.5x
EV / Sales 2025 45.4x
Free-Float
99.97%
Yield 2024
7.01%
Yield 2025 6.07%
1 day+0.53%
1 week-2.84%
Current month-0.52%
1 month-4.45%
3 months-10.08%
6 months-8.75%
Current year+4.59%
1 week 37.91
Extreme 37.91
39.39
1 month 37.6
Extreme 37.6
40.75
Current year 36.27
Extreme 36.27
43.9
1 year 35.81
Extreme 35.8105
43.9
3 years 23.24
Extreme 23.24
43.9
5 years 23.24
Extreme 23.24
43.9
10 years 19.45
Extreme 19.45
43.9
Manager TitleAgeSince
Chief Executive Officer - -
Director of Finance/CFO 51 -
Compliance Officer 54 19/09/2022
Director TitleAgeSince
Director/Board Member 82 15/09/2003
Director/Board Member 86 15/09/2003
Chairman 50 01/01/2017
Date Insider Type Main position Quantity % Market Cap.
30/10/25 Others

Chief Executive Officer

57 0.0001%
16/12/24 Buy

Director

298 0.0004%
02/12/24 Others

Chief Executive Officer

547 0.0007%
Change 5-day change 1-year change 3-year change Capi.($)
+0.53%-2.84%+1.40%+45.70% 336.78Cr
+0.34%+7.36%+37.24%+137.44% 1.68TCr
+0.13%+9.86%+75.06%+173.98% 1.44TCr
+0.41%-0.46%-9.13%+30.35% 926.64Cr
+0.83%+8.79%+52.08%+160.70% 835.27Cr
+0.85%+2.11%-20.06%-15.33% 713.58Cr
+2.34%+8.07%+19.75%+49.30% 719.07Cr
+0.25%+3.53%+12.66%+31.78% 498Cr
+0.64%+0.55%+11.13%+9.04% 413.75Cr
-0.33%+0.56% - - 393.7Cr
Average +0.60%+1.89%+20.01%+69.22% 795.49Cr
Weighted average by Cap. +0.57%+3.32%+28.67%+92.96%

Financials

2024 2025
Net sales 9.61Cr 8.24Cr 7.72Cr 7.05Cr 13Cr 916.24Cr 13Cr 91Cr 35Cr 462.26Cr 36Cr 35Cr 1.53TCr 9.33Cr 7.99Cr 7.49Cr 6.84Cr 13Cr 889.39Cr 13Cr 88Cr 34Cr 448.72Cr 35Cr 34Cr 1.49TCr
Net income 87Cr 74Cr 69Cr 63Cr 119.77Cr 8.25TCr 120.95Cr 819.52Cr 319.03Cr 4.16TCr 324.9Cr 317.82Cr 14TCr 77Cr 66Cr 62Cr 56Cr 106.46Cr 7.33TCr 107.51Cr 728.46Cr 283.58Cr 3.7TCr 288.8Cr 282.51Cr 12TCr
Net Debt 65Cr 56Cr 52Cr 48Cr 90Cr 6.2TCr 91Cr 615.62Cr 239.65Cr 3.13TCr 244.06Cr 238.74Cr 10TCr 88Cr 75Cr 70Cr 64Cr 121.11Cr 8.34TCr 122.31Cr 828.72Cr 322.61Cr 4.21TCr 328.54Cr 321.39Cr 14TCr
Logo Reaves Utility Income Fund
Reaves Utility Income Fund (the Fund) is a diversified, closed-end management investment company. The Fund's investment objective is to provide a high level of after-tax income and total return consisting primarily of tax-advantaged dividend income and capital appreciation. Under normal market conditions, the Fund invests at least 80% of its total assets in dividend-paying common and preferred stocks of companies in the utility industry. The Fund pursues its investment objective by investing at least 80% of its total assets in the securities of domestic and foreign companies involved to a significant extent in providing products, services or equipment for the generation or distribution of electricity, gas or water; telecommunications activities, and infrastructure operations, such as airports, toll roads and municipal services. The Fund may invest in preferred stocks and bonds of below investment grade quality (junk bonds). The Fund's investment adviser is W.H. Reaves & Co., Inc.
Employees
-
Date Price Change Volume
25/26/25 $38.26 +0.53% 1,98,191
24/26/24 $38.06 -1.04% 2,89,187
21/26/21 $38.46 -0.49% 2,07,223
20/26/20 $38.65 -1.20% 2,75,944
19/26/19 $39.12 -0.66% 2,30,323