MYIL.XCCboe UK
Murray International Trust PLC
£361.00
ListedJan 28, 2009
SectorFinancial Services
IndustryAsset Management
CountryUnited Kingdom
Employees-
State-| CityEdinburgh| Address1 George Street| Phone44 1313 729 444
Murray International Trust PLC is a closed ended equity mutual fund launched and managed by Aberdeen Fund Managers Limited. It is co-managed by Aberdeen Asset Managers Limited. The fund invests in public equity markets across the globe. It seeks to invest in stocks of companies operating across diversified sectors. The fund invests in stocks of companies across all market capitalizations. It employs fundamental analysis with a top-down stock selection approach, focusing on such factors as value, performance, and macroeconomic and monetary factors to create its portfolio. The fund benchmarks the performance of its portfolio against a composite index comprised of 40% FTSE World UK Index and 60% FTSE World ex UK Index. Murray International Trust PLC was formed on December 18, 1907 and is domiciled in the United Kingdom.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
1203.3
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Div. Rate
£0.00
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Div. Yield
0.00%
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Payout Ratio
38.98%
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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
0.04
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Div. Growth Rate
100.00%
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Score
99

Dividend History

Historical dividend payments by ex-dividend date.

Apr 9, 2026
£ 4.6000
Jan 2, 2026
£ 2.6000
Oct 2, 2025
£ 2.6000
Jul 3, 2025
£ 2.6000
Apr 3, 2025
£ 4.3000
Jan 2, 2025
£ 2.5000
Oct 3, 2024
£ 2.5000
Jul 4, 2024
£ 2.5000
Apr 25, 2024
£ 4.3000
Jan 4, 2024
£ 2.4000
Oct 5, 2023
£ 2.4000
Jul 6, 2023
£ 2.4000
Apr 6, 2023
£ 4.0000
Jan 5, 2023
£ 2.4000
Oct 6, 2022
£ 2.4000
Jul 7, 2022
£ 2.4000
Apr 7, 2022
£ 3.8000
Jan 6, 2022
£ 2.4000
Oct 7, 2021
£ 2.4000
Jul 1, 2021
£ 2.4000
Apr 1, 2021
£ 3.7000
Jan 7, 2021
£ 2.4000
Oct 1, 2020
£ 2.4000
Jul 2, 2020
£ 2.4000
Apr 2, 2020
£ 3.5000
Jan 2, 2020
£ 2.4000
Oct 3, 2019
£ 2.4000
Jul 4, 2019
£ 2.4000
Apr 4, 2019
£ 3.4000
Jan 3, 2019
£ 2.3000
Oct 4, 2018
£ 2.3000
Jul 5, 2018
£ 2.3000
Apr 5, 2018
£ 3.4000
Jan 4, 2018
£ 2.2000
Oct 5, 2017
£ 2.2000
Jul 6, 2017
£ 2.2000
Apr 6, 2017
£ 3.2000
Jan 5, 2017
£ 2.1000
Oct 6, 2016
£ 2.1000
Jul 7, 2016
£ 2.1000
Apr 7, 2016
£ 3.0000
Jan 7, 2016
£ 2.1000
Oct 8, 2015
£ 2.1000
Jul 9, 2015
£ 2.1000
Apr 2, 2015
£ 3.0000
Jan 8, 2015
£ 2.0000
Oct 9, 2014
£ 2.0000
Jul 9, 2014
£ 2.0000
Apr 2, 2014
£ 2.9000
Jan 8, 2014
£ 1.9000
Oct 9, 2013
£ 1.9000
Jul 10, 2013
£ 1.9000
Apr 3, 2013
£ 2.7000
Jan 3, 2013
£ 1.8000
Oct 10, 2012
£ 1.8000
Jul 11, 2012
£ 1.8000
Apr 10, 2012
£ 2.6000
Jan 4, 2012
£ 1.6000
Oct 12, 2011
£ 1.6000
Jul 13, 2011
£ 1.6000
Apr 6, 2011
£ 2.8200
Jan 7, 2011
£ 1.3600
Oct 13, 2010
£ 1.3600
Jul 14, 2010
£ 1.3600
Apr 7, 2010
£ 2.0400
Jan 8, 2010
£ 1.1200
Oct 7, 2009
£ 1.1200
Jul 8, 2009
£ 1.1200
Apr 1, 2009
£ 1.7600

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