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About The Company

CEO

Market Cap

137.72 Million GBp

Sector

Financial Services

Website

https://www.manchesterandlondon.co.uk

Description

Manchester & London Investment Trust plc is a close-ended fund launched and managed by M&L Capital Management Limited.

Read More

Overview

Value

24

Growth

2

Health

60

Management

42

Analyst Opinion

74

Total

40

All Scores Out Of 100

Best Features

  • Earnings growth has improved recently
  • Has a low level of debt
  • Has strong financial health
  • Price-to-earnings ratio of 3.8 is lower than the market average (19.6x)
  • Liked by analysts
  • Has strong dividend growth
  • Has high dividend yeild
  • Low preportion of income is paid as dividend

Risk Factors

  • Income is not covering expenditure and investment
  • Earnings are negative
  • There is a history of diluting shareholders
  • Does not hold enough liquid assets to cover short term liabilities
  • No margin of safety at their current market price
  • Poor earnings and cashflow growth

Market Peers

MNL.L

Key Figures

PE Ratio (TTM)

3.77

Margin Of Safety (DCF)

-98.93%

Revenue Growth (5 Year Average)

-7.81%

Ratings Consensus

Buy

Share Buybacks

-3.88%

Dividend Yeild (TTM)

0.04%

Valuation

Value Score

24

  • Price-to-earnings ratio of 3.8 is lower than the market average (19.6x)
  • Estimated intrinsic-value of 3.57 GBp is lower than current price ( 342.00 GBp)
  • Free-cashflow-yeild of -0.05% is worse than the market average (4.7%)
  • Margin-of-safety of -98.93% is worse than the market average (17.95%)

Desired Margin Of Safety

0%

Tip: Set your desired Margin Of Safety

Free Cash Flow Type

Annual Cashflow Growth

0%

Discount Rate

0%

Buy Target: N/A

Current Price: 335 GBp

Negative Cashflows: Cashflow can become negative due to operating losses, investing activities or financing activites. Negative cashflow makes it dificult to use a discounted free cashflow model to assess intrinsic value.

How Does This Work?

Show Advanced Options

This calculator helps investors estimate the Intrinsic Value of a company based on the current value of future cash flows. To use the tool, simply input a desired Margin Of Safety, which is an additional discount applied to the present value of the expected future cash flows. The tool calculates the present value using a discount rate that reflects the risk and time value of money, and provides an estimated target price for the company based on the selected margin of safety. The calculator defaults to using 5 Year Free Cash Flow Growth % and a discount rate based on the US 10-year treasury bond coupon rate. Use our performance analyser to get a feel the impact this has on longterm investment returns and discover a margin of safety you are comfortable with. This can be a useful tool for investors looking to make informed decisions about whether to buy or sell shares of a particular company.

Price/Earnings

3.77x

Free Cashflow Yeild

-0.05%

PE/Earnings Growth

N/A

Price/Book

6794.64x

Growth

Growth Score

2

  • Revenue growth has improved this yeara
  • Earnings growth has improved this year
  • 5 Year Average Revenue growth of -7.81% is lower than the market average (10.97%)
  • 5 Year Average Earnings growth of 9.87% is lower than the market average (14.48%)
  • 5 Year Average Free Cashflow growth of -24.96% is lower than the market average (12.35%)
  • Free Cashflow growth has slowed this year

Revenue Growth

-7.81%

Earnings Growth

9.87%

Cashflow Growth

-24.96%

Health

Health Score

60

  • Has a low level of debt
  • Low financial Leverage
  • Normal operation does not require debt to be sustainable
  • Cashflow is negative
  • Debt repayments significantly impact cashflow

Altman Z Score

N/A

Piostroski Score

N/A

Debt/Equity

N/Ax

Current Assets/Liabilities

N/Ax

Free Cashflow/Total Debt

N/Ax

Debt/Capital

N/Ax

Dividend

Secure Dividend Score

54

  • Dividend yeild of 0.04% is less than the market average (1.85%)
  • Dividend is likely safe
  • Long term dividend payout ratio of 12.91% is considered good
  • Payout ratio (TTM) of 20.71% is lower than the average (40%)
  • Dividends have shown growth over the last 5 years
  • Spending a higher percentage of their income on dividends than last 5 years

Dividend Yeild

0.04%

Dividend Growth

23.05%

Payout Ratio (Earnings)

20.71%

Payout Ratio (Cashflow)

-68.42%

Management

Management Score

42

  • Has issued new shares to finance growth when share price is high
  • Has a history of diluting shareholders to finance activity
  • Has returned higher dividends when earnings have risen
  • Return-on-equity of -4584.02% is lower than the market average (15%)
  • Return-on-capital-employed of -27.84% is lower than the market average (10%)

Average Buybacks/Dilution

-3.88%

Recent Buybacks/Dilution

14780.79%

5 Year Price Volitility

16.55%

Return On Assets

-4215.13%

Return On Capital Employed

-27.84%

Return On Equity

-4584.02%

Return On Free Cashflow

36199.94%

Return On Investments

N/A

Analysts

Analyst Opinion

74

  • Ratings consensus is Buy

SEC Filings

Find yearly (10-K), quaterly (10-Q) and disclosure (8-K) report here, on the Securities and Exchange Commission's EDGAR database. If reading through reports isn't your cup of tea, don't worry. We've made it easy for you by summarizing all the important bits.

Other Information

Company Name

Manchester & London Investment Trust plc

Currency

GBp

Beta

0.452156

Vol Avg

31349

Ceo

Cik

Cusip

G57764105

Exchange

London Stock Exchange

Full Time Employees

0

Industry

Asset Management

Sector

Financial Services

Ipo Date

1997-12-08

Address

12a Princes Gate Mews

City

LONDON

State

Country

GB

Zip

Phone

442038820749

All financial data provided by FMP

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