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III.L - 3i Group PLC

569


GBX 2,828.83

-GBX 8.55 (-0.301%)
At close: 4/21/26, 3:29 PM
Stock Unlock LogoScore

4.65/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
III.L
Valuation Score
View as %

(L stock price quotes are delayed, fully updated by EOD)
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GBX 2,261GBX 4,514AprJunAugOctDecFeb

1D
1W
1M
YTD
1Y
3Y
5Y
Max

Stock Profile
  • Market Cap
    £28.87B
  • Industry
    Financial Services
  • EPS (TTM)
    GBX 635.00
  • P/E (TTM)
    4.60
  • Div & Yield
    GBX 79.00 (2.79%)
  • FCF Payout Ratio
    98.81%
  • P/S (TTM)
    4.36
  • P/B
    1.02
  • Diluted Shares
    988.00M
  • Ex-Dividend
    2025-11-27
  • Next Earnings
    05-14
  • Forward P/E
    --
  • Payout Ratio
    12.85%
  • P/FCF (TTM)
    35.38
  • FCF Yield
    2.83%
  • Earnings Yield
    21.74%
  • 52 Week Range
4.65
Very Good
3i Group PLC has grown revenue at 54.13% over the past year, which is strong growth. Also, it has more cash than current liabilities meaning it has enough cash to handle all its debts within the next year, if it wanted to.
Valuation Model
Key Score
5.00
Very Good
Management
2.00
Bad

Growth
4.00
Good

Profitability
1.00
Very Bad
Fin. Health
2.00
Bad

Dividends
1.00
Very Bad

Analyst
2.00
Bad
Insider Transactions
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Market News
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Revenue
Earnings
Free Cash Flow
2022202320242025£0£1.50B£3.00B£4.50B£6.00B
Price Targets
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These are one year price targets for: 2027-04-12
High:
GBX 5,460
93.0%
Avg:
GBX 3,889
37.5%
Low:
GBX 1,970
-30.4%
(% change is relative to the current stock price: GBX 2,828.83)
Analyst Recommendations
Go to Analyst Tab
4.00
Good
32%
Strong Buy (7)
50%
Buy (11)
9%
Hold (2)
5%
Sell (1)
5%
Strong Sell (1)
About
3i is a British private equity group that has billions under management. The company invests in mid-market companies and core investment markets are Europe and North America. The private equity business is funded principally from its proprietary capital, with some funding from co-investors for selected assets. Its principal focus is on generating attractive capital returns. Private equity sectors include consumer & private label, healthcare, industrial, services & software. Its infrastructure business manages assets on behalf of third-party investors and its proprietary capital, with the objective of generating capital returns and earning fund management fees and portfolio income. Infrastructure sectors include communications, utilities, transport/logistics, social infrastructure, and energy.
  • IPO Date
    1994-07-18
  • Industry
    Financial Services
  • Total Employees
    223
  • Exchange
    London Stock Exchange
  • Reporting Currency
    GBP
  • GICS
    Capital Markets
  • GICS Sub
    Asset Management & Custody Banks
  • GICS Sector
    Financials
  • GICS Group
    Financial Services