Data as at: 29/11/2024
Market Cap (m) | Total assets (m) | Price (last close) | NAV | Discount / premium (%) | Gearing (%) | Dividend yield (%) | Dividend dates | Ongoing charge (%) |
---|---|---|---|---|---|---|---|---|
1,809.58 | 2,372.90 | 237.50 | 270.46 | -12.18 | 14 | 3.22 | Feb, May, Aug, Nov | 0.47 (31/01/2024) |
Dividends
Dividends declared in last 12 months
Ex-Dividend date | Payment date | Dividend amount | Special dividend | Financial year |
---|---|---|---|---|
26/09/2024 | 01/11/2024 | 1.500 | No | 2025 |
20/06/2024 | 01/08/2024 | 1.500 | No | 2025 |
11/04/2024 | 16/05/2024 | 3.300 | No | 2024 |
21/12/2023 | 01/02/2024 | 1.450 | No | 2024 |
Performance (%)
Return type | 1 year | 3 years | 5 years | 10 years | |
---|---|---|---|---|---|
Mercantile Investment Trust | Share price total return | 19.9 | 2.0 | 16.5 | 124.4 |
UK All Companies AIC sector | Share price total return | 18.8 | 3.8 | 20.5 | 112.2 |
Morningstar UK * | Total return | 14.9 | 25.3 | 31.2 | 80.5 |
* The Morningstar market index is not necessarily the official benchmark of the investment trust, but it has been identified as an appropriate comparative index. Please hover over the definition for further detail on the index construction.
Share structure
Traded volumes (number of shares)
Yesterday | 1 month | 1 year | 5 years | |
---|---|---|---|---|
Total | 762,082 | 33,467,294 | 386,861,713 | 1,615,999,340 |
Average | N/A | 1,593,680 | 1,529,100 | 1,280,510 |
Traded values (m)
Yesterday | 1 month | 1 year | 5 years | |
---|---|---|---|---|
Total | 1.81 | 78.14 | 893.73 | 3,554.15 |
Average | N/A | 3.72 | 3.53 | 2.82 |
Trading details
Top holdings
Data as at : 31/08/2024
Investment | % of total assets |
---|---|
Bellway PLC | 4.9 |
Intermediate Capital Group PLC | 4.4 |
Cranswick PLC | 3.5 |
3i Group Ord | 3.4 |
Games Workshop Group PLC | 3.0 |
Softcat PLC | 2.9 |
Inchcape PLC | 2.9 |
Rotork PLC | 2.8 |
75M 6.125% SECURED BOND 2030 | -3.6 |
100M 6.125% SECURED BOND 2030 | -4.8 |
Data provided by Morningstar.
Company documents provided by FE fundinfo.