Nippon Active Value Fund plc (NAVF.L) LSE

212.00

+0.5(+0.24%)

Updated at October 17 04:35PM

Currency In GBp

Valuation

Market Cap354.64M
Enterprise Value334.75M
P/E Ratio7.45
PEG Ratio0.65
Price/Sales Ratio6.56
Price/Book Ratio1.04
Enterprise/Revenue6.49
Enterprise/EBITDA6.99

Fiscal Year

Fiscal YearDecember 31, 2024
Most Recent QuarterJune 30, 2025

Profitability

Profit Margin0.88
Operating Margin0.93

Management Effectiveness

Return On Assets0.14
Return On Equity0.14

Income Statement

Revenue51.12M
Revenue/Share0.32
Gross Profit47.92M
EBITDA51.28M
Net Income48.53M
Diluted EPS0.26

Balance Sheet

Total Cash8.08M
Total Cash/Share0.04
Total Debt3.8M
Total Debt/Equity0.01
Current Ratio0
Book Value Per Share2.05

Price History

52-Week Change17.45
52-Week High230
52-Week Low156.5
Moving Average 50 Days218.57
Moving Average 200 Days200.09

Statistics

Average Volume206,252
Shares Outstanding189.14M
% Held by InstitutionsN/A

Dividend And Splits

Trailing Annual Dividend Rate0.03
Trailing Annual Dividend Yield1.53
Payout Ratio0.17
Last Split FactorN/A
Last Split DateN/A