HSBA

1,375.2

+1.03%↑

BARC

446

+0.93%↑

LLOY

99.86

+0.73%↑

STAN

1,947

+0.15%↑

FERG.UK

16,650

+0.3%↑

HSBA

1,375.2

+1.03%↑

BARC

446

+0.93%↑

LLOY

99.86

+0.73%↑

STAN

1,947

+0.15%↑

FERG.UK

16,650

+0.3%↑

HSBA

1,375.2

+1.03%↑

BARC

446

+0.93%↑

LLOY

99.86

+0.73%↑

STAN

1,947

+0.15%↑

FERG.UK

16,650

+0.3%↑

HSBA

1,375.2

+1.03%↑

BARC

446

+0.93%↑

LLOY

99.86

+0.73%↑

STAN

1,947

+0.15%↑

FERG.UK

16,650

+0.3%↑

HSBA

1,375.2

+1.03%↑

BARC

446

+0.93%↑

LLOY

99.86

+0.73%↑

STAN

1,947

+0.15%↑

FERG.UK

16,650

+0.3%↑

Search

Scottish Mortgage Investment Trust PLC

Open

SectorFinance

1,498.5 1.7

Overview

Share price change

24h

Current

Min

1465

Max

1504.5

Key metrics

By Trading Economics

Income

2.7B

Sales

2.7B

P/E

Sector Avg

4.672

58.236

EPS

2.29

Dividend yield

0.31

Profit margin

99.398

EBITDA

2.7B

Dividends

By Dow Jones

Dividend yield

Sector Avg

0.31%

4.64%

Next Earnings

28 May 2026

Market Stats

By TradingEconomics

Market Cap

16B

Previous open

1496.8

Previous close

1498.5

News Sentiment

By Acuity

9%

91%

6 / 438 Finance

Scottish Mortgage Investment Trust PLC Chart

Past performance is not a reliable indicator of future results.

Related News

21 May 2026, 09:53 UTC

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Peer Comparison

Price change

Scottish Mortgage Investment Trust PLC Forecast

Sentiment

By Acuity

6 / 438 Finance

News Sentiment

Very Strong Bullish Evidence

Volatility

Below average

News Volume (RCV)

Above average

Financials

Selling and administration expenses

Operating expenses

Pre-tax profit

Sales

Cost of sales

Gross profit on sales

Interest expense on debt

EBITDA

Operating profit

$

About 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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