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GB0006674385
883343
PAC.L

PACIFIC ASSETS TRUST

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  • Pacific Assets Trust: FSSA takes over portfolio management after Stewart Investors closes

    Pacific Assets Trust announces that, with effect from 14 November 2025, portfolio management will move from Stewart Investors to the affiliated team FSSA Investment Managers. The change follows the departure of co-portfolio manager David Gait and two colleagues and First Sentier Group’s decision to wind down the Stewart Investors business. Rizi Mohanty will be lead portfolio manager, Martin Lau co-portfolio manager; the previous managers Doug Ledingham and Jack Nelson are stepping down. The board says it is disappointed and plans to consult major shareholders before a strategic review; further announcements will be made in due course. » Altro su de.investing.com


  • Pacific Assets Trust: NAV down 3.7% on half-year basis, India weighs on performance

    Pacific Assets Trust reports a decline in Net Asset Value on a total return basis of 3.7% for the half-year to 31 July 2025, leaving it behind the MSCI AC Asia ex Japan, which rose 9.5%. Positions in India were particularly detrimental, although operating results remained solid; positive contributions came from AI-active companies. The trust announces a conditional buyback (up to 25% of capital) and a tiered management fee (0.75% up to £500m, then 0.65%) to better align management with shareholder interests. During the reporting period PAC repurchased 2.2m of its own shares, with a further 1.7m repurchased after the period end, which reduced the discount. » Altro su de.investing.com

Nel 2024, PACIFIC ASSETS TRUST ha già distribuito 3,66 € di dividendi. L'ultimo pagamento è avvenuto a luglio 2024.

Dati finanziari dell'azienda

Nell'ultimo trimestre, PACIFIC ASSETS TRUST ha registrato ricavi pari a 36,21 Mln € e un utile netto di 17,87 Mln €
(EUR) gen 2026
YoY
Ricavi 36,21 Mln -
Utile lordo 33,83 Mln -
Utile netto 17,87 Mln -
EBITDA 15,46 Mln -

Dati fondamentali

Metrica Valore
Capitalizzazione di mercato
567,54 Mln €
Numero di azioni
114,26 Mln
Massimo/minimo a 52 settimane
5,28 € - 4,03 €
Dividendi No
Beta
0,65
Rapporto P/E
-141,67
Rapporto PEG
0,69
Rapporto P/B
1,03
Rapporto P/S
32,57

Profilo aziendale

Pacific Assets Trust plc ist ein geschlossener Aktienfonds, der von Frostrow Capital LLP aufgelegt wurde. Er wird von First State Investment Management (UK) Limited verwaltet. Der Fonds investiert in die öffentlichen Aktienmärkte des asiatisch-pazifischen Raums, mit Ausnahme von Japan, Australien und Neuseeland. Er versucht, in Aktien von Unternehmen zu investieren, die in verschiedenen Sektoren tätig sind. Der Fonds investiert in erster Linie in Wachstumsaktien von Unternehmen, wobei der Schwerpunkt auf Unternehmen liegt, die gut positioniert sind, um von der nachhaltigen Entwicklung der Länder, in denen sie tätig sind, zu profitieren und dazu beizutragen. Er konzentriert sich bei der Zusammenstellung seines Portfolios auf Faktoren wie Finanzanalyse, Unternehmensbesuche und Bewertungsanalyse. Der Fonds vergleicht die Wertentwicklung seines Portfolios mit dem MSCI All Country Asia ex Japan Index. Für seine Investitionen setzt der Fonds ein internes Research ein. Pacific Assets Trust plc wurde am 1. Januar 1985 gegründet und hat seinen Sitz im Vereinigten Königreich.

Nome
PACIFIC ASSETS TRUST
CEO
Cobus Loots
Sede centrale Edinburgh, sc
Regno Unito
Sito web
Quotazione in borsa
28/02/1985
Dipendenti 5238

Simboli di borsa

Borsa Simbolo
London Stock Exchange
PAC.L
London
PAC.L
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