HSBA

1,374.6

+2.06%↑

BARC

445.7

+1.51%↑

LLOY

100

+1.34%↑

STAN

1,946.5

+0.96%↑

FERG.UK

16,700

-0.12%↓

HSBA

1,374.6

+2.06%↑

BARC

445.7

+1.51%↑

LLOY

100

+1.34%↑

STAN

1,946.5

+0.96%↑

FERG.UK

16,700

-0.12%↓

HSBA

1,374.6

+2.06%↑

BARC

445.7

+1.51%↑

LLOY

100

+1.34%↑

STAN

1,946.5

+0.96%↑

FERG.UK

16,700

-0.12%↓

HSBA

1,374.6

+2.06%↑

BARC

445.7

+1.51%↑

LLOY

100

+1.34%↑

STAN

1,946.5

+0.96%↑

FERG.UK

16,700

-0.12%↓

HSBA

1,374.6

+2.06%↑

BARC

445.7

+1.51%↑

LLOY

100

+1.34%↑

STAN

1,946.5

+0.96%↑

FERG.UK

16,700

-0.12%↓

Search

Scottish Mortgage Investment Trust PLC

Open

SectorFinanciën

1,494.5 1.05

Overzicht

Wijziging aandelenprijs

24u

Huidig

Min

1465

Max

1504.5

Belangrijke statistieken

By Trading Economics

Inkomsten

2.7B

Verkoop

2.7B

K/W

Sectorgemiddelde

4.672

58.236

EPS

2.29

Dividendrendement

0.31

Winstmarge

99.398

EBITDA

2.7B

Dividenden

By Dow Jones

Dividendrendement

Sectorgemiddelde

0.31%

4.64%

Volgende Winsten

28 mei 2026

Marktinformatie

By TradingEconomics

Marktkapitalisatie

16B

Vorige openingsprijs

1493.45

Vorige sluitingsprijs

1494.5

Nieuwssentiment

By Acuity

9%

91%

6 / 438 Rangschikking in Finance

Scottish Mortgage Investment Trust PLC Grafiek

Eerdere prestaties zijn geen betrouwbare indicator voor toekomstige resultaten.

Gerelateerd nieuws

21 mei 2026, 09:53 UTC

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Prijswijziging

Scottish Mortgage Investment Trust PLC Prognose

Sentiment

By Acuity

6 / 438 Rangschikking in Financiën

Nieuwssentiment

Zeer Sterk Bearish Bewijs

Volatiliteit

Onder gemiddelde

Nieuws Volume (RCV)

Boven gemiddelde

Financieel

Verkoop- en administratiekosten

Bedrijfskosten

Winst voor belastingen

Verkoop

Kosten van verkopen

Brutowinst op verkopen

Rente-uitgaven op schulden

EBITDA

Operationele winst

$

Over 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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