MRCL.XCCboe UK
The Mercantile Investment Trust plc
£269.50
ListedJan 29, 2009
SectorFinancial Services
IndustryAsset Management
CountryUnited Kingdom
Employees-
State-| CityLondon| Address60 Victoria Embankment| Phone44 207 742 6000
The Mercantile Investment Trust plc is an open ended equity mutual fund launched and managed by JPMorgan Funds Limited. The fund is co-managed by JPMorgan Asset Management (UK) Limited. It invests in the public equity markets of the United Kingdoms. The fund spreads its investments across diversified sectors. It invests in the stocks of mid and small cap companies. The fund benchmarks the performance of its portfolio against the FTSE All Share (ex FTSE 100, ex Inv Companies) Index. It was formerly known as JP Morgan Fleming Mercantile Investment Trust plc. The Mercantile Investment Trust plc was formed in December 1884 and is domiciled in the United Kingdoms.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
508.5
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Div. Rate
£0.00
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Div. Yield
0.00%
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Payout Ratio
14.57%
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Max Consec. Div. Years
17 years
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Longest Consec. Div.
16 years
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Div. Coverage
100%
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Div. Stability Rate
0.08
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Div. Growth Rate
100.00%
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Score
98

Dividend History

Historical dividend payments by ex-dividend date.

Apr 9, 2026
£ 3.5500
Dec 18, 2025
£ 1.5500
Sep 25, 2025
£ 1.5500
Jun 5, 2025
£ 1.5500
Apr 10, 2025
£ 3.4000
Dec 19, 2024
£ 1.5000
Sep 26, 2024
£ 1.5000
Jun 20, 2024
£ 1.5000
Apr 11, 2024
£ 3.3000
Dec 21, 2023
£ 1.4500
Sep 28, 2023
£ 1.4500
Jun 22, 2023
£ 1.4500
Apr 6, 2023
£ 3.1000
Dec 22, 2022
£ 1.3500
Sep 29, 2022
£ 1.3500
Jun 23, 2022
£ 1.3500
Mar 31, 2022
£ 2.8500
Dec 23, 2021
£ 1.3500
Sep 23, 2021
£ 1.3500
Jun 24, 2021
£ 1.3500
Mar 25, 2021
£ 2.6500
Dec 17, 2020
£ 1.3500
Sep 24, 2020
£ 1.3500
Jun 25, 2020
£ 1.3500
Apr 9, 2020
£ 2.5500
Dec 19, 2019
£ 1.3500
Sep 26, 2019
£ 1.3500
Jun 20, 2019
£ 1.3500
Apr 4, 2019
£ 2.5500
Dec 20, 2018
£ 1.2500
Sep 27, 2018
£ 1.2500
Jun 21, 2018
£ 1.2500
Apr 12, 2018
£ 2.1500
Dec 14, 2017
£ 1.0500
Sep 28, 2017
£ 1.0500
Jun 22, 2017
£ 1.0500
Apr 6, 2017
£ 1.5250
Dec 15, 2016
£ 1.0250
Oct 6, 2016
£ 1.0250
Jun 23, 2016
£ 1.0250
Apr 7, 2016
£ 1.3000
Dec 17, 2015
£ 1.0000
Oct 1, 2015
£ 1.0000
Jun 25, 2015
£ 1.0000
Apr 2, 2015
£ 1.7000
Dec 29, 2014
£ 0.8000
Oct 1, 2014
£ 0.8000
Jun 18, 2014
£ 0.8000
Apr 2, 2014
£ 1.6000
Dec 31, 2013
£ 0.8000
Jun 26, 2013
£ 0.8000
Mar 27, 2013
£ 1.8000
Jan 3, 2013
£ 0.6000
Oct 3, 2012
£ 0.6000
Jul 4, 2012
£ 0.6000
Apr 10, 2012
£ 1.8000
Dec 28, 2011
£ 0.6000
Sep 28, 2011
£ 0.6000
Jul 6, 2011
£ 0.6000
Apr 13, 2011
£ 1.8000
Jan 7, 2011
£ 0.6000
Sep 29, 2010
£ 0.6000
Jun 30, 2010
£ 0.6000
Apr 14, 2010
£ 1.8000
Dec 30, 2009
£ 0.6000
Sep 30, 2009
£ 0.6000
Jul 1, 2009
£ 0.6000
Apr 1, 2009
£ 1.8000

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