HSBA

1,396.8

+1.22%↑

BARC

460.45

+1.73%↑

LLOY

101.7

+0.39%↑

STAN

1,993.5

+1.76%↑

FERG.UK

16,690

-1.36%↓

HSBA

1,396.8

+1.22%↑

BARC

460.45

+1.73%↑

LLOY

101.7

+0.39%↑

STAN

1,993.5

+1.76%↑

FERG.UK

16,690

-1.36%↓

HSBA

1,396.8

+1.22%↑

BARC

460.45

+1.73%↑

LLOY

101.7

+0.39%↑

STAN

1,993.5

+1.76%↑

FERG.UK

16,690

-1.36%↓

HSBA

1,396.8

+1.22%↑

BARC

460.45

+1.73%↑

LLOY

101.7

+0.39%↑

STAN

1,993.5

+1.76%↑

FERG.UK

16,690

-1.36%↓

HSBA

1,396.8

+1.22%↑

BARC

460.45

+1.73%↑

LLOY

101.7

+0.39%↑

STAN

1,993.5

+1.76%↑

FERG.UK

16,690

-1.36%↓

Search

Scottish Mortgage Investment Trust PLC

Затворен

СекторФинансови

1,521 1.03

Преглед

Промяна на цената на акция

24 ч

Текуща

Минимум

1511.5

Максимум

1523

Ключови измерители

By Trading Economics

Приходи

2.7B

Продажби

2.7B

P/E

Средно за сектора

4.864

58.051

EPS

2.29

Дивидентна доходност

0.3

Марж на печалбата

99.398

EBITDA

2.7B

Дивиденти

By Dow Jones

Дивидентна доходност

Средно за сектора

0.30%

4.68%

Пазарни показатели

By TradingEconomics

Пазарна капитализация

17B

Предишно отваряне

1519.97

Предишно затваряне

1521

Настроения в новините

By Acuity

57%

43%

343 / 438 Класиране в Finance

Scottish Mortgage Investment Trust PLC Графика

Миналото представяне не гарантира бъдещи резултати.

Свързани новини

21.05.2026 г., 09:53 ч. UTC

Горещи акции

Stocks to Watch: Nvidia, Rocket Lab, Intuit, Walmart -- WSJ

Сравнение с други в отрасъла

Ценова промяна

Scottish Mortgage Investment Trust PLC Прогноза

Настроение

By Acuity

343 / 438 Класиране в Финансови

Настроения в новините

Мечи доказателства

Волатилност

Под средното

Обем новини (RCV)

Над средното

Финанси

Продажбени и админисративни разходи

Оперативни разходи

Печалба преди облагане с данъци

Продажби

Разходи за продажби

Брутна печалба от продажби

Разходи за лихви по дълг

EBITDA

Оперативна печалба

$

Относно Scottish Mortgage Investment Trust PLC

Scottish Mortgage Investment Trust PLC is a United Kingdom-based investment trust. The Company’s investment objective is to maximize total return from a portfolio of long-term investments chosen on a global basis enabling the Company to provide capital and dividend growth. The Company invests in listed and private company securities and makes other investments so as to achieve its investment objective to maximize total return from a portfolio of long-term investments. It invests in various sectors, including consumer discretionary, technology, healthcare, industrials, financials, consumer staples, basic materials and energy. The Company invests in various geographical segments, including North America, Europe, Asia, South America, and Africa and Middle East. The Company’s Alternative Investment Fund Manager (AIFM) is Baillie Gifford & Co Limited.
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