Value and Indexed Property Income Ord

VIP.L: LSE
41Total

Lowest reading is at 7 out of 100. All scores are out of 100.

About The Company

Market Cap

90.08 Million GBp

Last Update

28/09/2026, 03:23:19

Description

.

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Strongest readings

  • ✔Debt is low at 0.58 times equity
  • ✔Share count has been falling at 1.56% per year
  • ✔Price-to-earnings of 19.1 is below the market average of 19.6

Weakest readings

  • ✘A high share of income is paid out as dividend (125.26%)
  • ✘Earnings and cashflow growth is weak (growth score 7 out of 100)
  • ✘The current price sits above estimated fair value (margin of safety -5.68%)

Key Figures

StatusMetricValueReadingMarket avg
✔
Price / earnings (TTM)
19.13x
19.60x
✘
Margin of safety (DCF)
-5.68%
17.95%
✘
Revenue growth (5y average)
-38.05%
10.97%
✔
Dividend yield (TTM)
6.33%
1.85%
✔
Share count, per year
-1.56%
0.00%
Return on capital employedN/A10.00%

The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

Valuation

64 / 100

Priced at or below the market on most measures.

StatusMetricValueReadingMarket avg
✔
Price / earnings
19.13x
19.60x
✔Free cashflow yield7.46%
4.70%
Price / earnings growthN/A1.50x
Price / book106.03x
—
✘
Margin of safety
-5.68%
17.95%

The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

  • ✘Estimated intrinsic value of 199.01 GBp is below the current price of 211.00 GBp

Desired Margin Of Safety

0%

▼

Tip: Set your desired Margin Of Safety

Free Cash Flow Type

Annual Cashflow Growth

0%

Discount Rate

0%

Estimated Fair Value: 5.6 GBp ✘

Current Price: 211 GBp

How Does This Work?

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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 fair value 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 for the impact this has on longterm investment returns and find a margin of safety you are comfortable with.

Growth

7 / 100

Growing more slowly than the market on most measures.

StatusMetricValueReadingMarket avg
✘
Revenue growth
-38.05%
10.97%
✘Earnings growth-22.87%
14.48%
✘Cashflow growth0.53%
12.35%

The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

    Health

    not enough data

    Not enough of the underlying data is reported to score this section.

    Measured on Leverage and capital, Funding and liquidity, Earnings quality.

    StatusMetricValueReadingThreshold
    ✔Debt / equity0.58x
    0.80x
    ✔Debt / total capital0.37x
    1.00x
    Equity / assets62.07%
    —
    ✘Debt / free cashflow0.14x
    0.15x
    Interest coverageN/A2.50x

    The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

      Dividend

      54 / 100

      Covered, with limited headroom.

      StatusMetricValueReadingMarket avg
      ✔
      Dividend yield
      6.33%
      1.85%
      ✘Dividend growth-1.25%
      0.00%
      ✘Payout ratio (earnings)125.26%
      40.00%
      ✘Payout ratio (cashflow)84.83%
      65.00%
      ✔Worst year, last 5 years1.39%
      -2.00%

      The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

      • ✘Dividend growth has been slowing recently

      Management

      53 / 100

      Returns on capital are at or above the market.

      StatusMetricValueReadingMarket avg
      ✘Return on equity5.36%
      15.00%
      Return on capital employedN/A10.00%
      Return on assets3.33%
      —
      Free cashflow return on capital5.02%
      —
      Return on capital, 5y changeN/A0.00%
      ✔
      Share count, per year
      -1.56%
      0.00%
      ✘Share count, recent3.42%
      0.00%
      ✘Realized buyback return-40.22%
      0.00%
      ✔Goodwill erosion / equity0.00%
      2.00%
      Price volatility, 5 year26.74%
      —

      The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

      • ✔Shares were repurchased while the value score was 64 out of 100
      • ✘Dividends were raised while earnings fell (dividend 2.01% per year, earnings -22.87% per year)

      Analysts

      not enough data
      StatusMetricValueReadingNeutral
      Analyst opinion scoreN/A50

      The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

      Financial History

      Annual figures across the full reporting history we hold.

      Market Peers

      VIP.L

      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.

      See 35+ Years Annual Reports

      Other Information

      Company Name

      Value and Indexed Property Income Ord

      Currency

      GBp

      Beta

      Vol Avg

      26528

      Ceo

      Cik

      Cusip

      Exchange

      LSE

      Full Time Employees

      Industry

      Sector

      Ipo Date

      Address

      City

      State

      Country

      Zip

      Phone

      Analysis Last Updated

      28/09/2026, 03:23:19

      Financial data compiled from SEC EDGAR filings and Yahoo Finance.

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      Data, not advice. Do your own diligence.

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