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Athelney Trust plc Athelney Trust plc

Athelney Trust plc

ATY
Rank in Stocks #20741
Athelney Trust plc is a close ended equity mutual fund launched and managed by... Athelney Trust plc is a close ended equity mutual fund launched and managed by Chelverton Asset Management Limited. It invests in the public equity markets of United Kingdom. The fund seeks to invest in companies across diversified sectors. It invests in the stocks of the small-cap companies with a market capitalization of less than £300m with either a full listing on the London Stock Exchange or a trading facility on AIM or ISDX. The assets of the Trust have been allocated in two main ways: first, to the shares of those companies which have grown steadily over the years in terms of profits and dividends but, despite this progress, the market rating has remained low or very low; second, to those companies whose shares are standing at a low level compared with the value of land, buildings or cash in the balance sheet. It benchmarks the performance of its portfolio against FTSE Small Cap Index. Athelney Trust plc was formed on August 1994 and is domiciled in the United Kingdom.
Share Price
$1.84
Market Cap
$39.64K
Change (1 day)
0.00%
Change (1 year)
-19.16%
Country
GB
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P/E ratio for Athelney Trust plc (ATY)
P/E ratio as of March 2026 TTM: -20.39
According to Athelney Trust plc latest financial reports and stock price the company's current price-to-earnings ratio (TTM) is -20.39. At the end of 2023 the company had a P/E ratio of -300.67.
P/E ratio history for Athelney Trust plc from 2003 to 2026
P/E ratio at the end of each year
Year P/E Ratio Change
2026 (TTM) -20.39 52.87%
2024 -13.34 -95.56%
2023 -300.67 11,536.59%
2022 -2.58 -174.33%
2021 3.48 -101.00%
2020 -348.07 -7,522.83%
2019 4.69 -195.78%
2018 -4.90 -175.94%
2017 6.45 -57.90%
2016 15.31 51.03%
2015 10.14 -26.31%
2014 13.76 431.17%
2013 2.59 -38.05%
2012 4.18 -147.57%
2011 -8.79 -270.13%
2010 5.17 60.06%
2009 3.23 -333.13%
2008 -1.38 -90.04%
2007 -13.90 -363.44%
2006 5.28 -1.26%
2005 5.34 50.26%
2004 3.56 27.37%
2003 2.79 0.00%
P/E ratio for similar companies or competitors
Company P/E Ratio P/E Ratio Difference Country
25.81 -226.57%
US
27.62 -235.43%
US
6.84 -133.53%
SE
73.44 -460.14%
CA
32.31 -258.45%
US
How to read a P/E ratio?

The Price/Earnings ratio measures the relationship between a company's stock price and its earnings per share.
A low but positive P/E ratio stands for a company that is generating high earnings compared to its current valuation and might be undervalued. A company with a high negative (near 0) P/E ratio stands for a company that is generating heavy losses compared to its current valuation.

Companies with a P/E ratio over 30 or a negative one are generaly seen as "growth stocks" meaning that investors typically expect the company to grow or to become profitable in the future.

Companies with a positive P/E ratio bellow 10 are generally seen as "value stocks" meaning that the company is already very profitable and unlikely to strong growth in the future.