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INDICATIVE · SAMPLE DATA
PEEL$97.0058

Peel Hunt Ltd

Investment Management & Fund OperatorsVerified

Peel Hunt's capital structure is characterized by a high price-to-book ratio of 135.38, indicating a significant premium over its book value. The company's liquidity position is assessed as medium, with a current ratio of 1.16, suggesting limited short-term liquidity cushion. Free cash flow is negative at -17,000 GBP, and operating cash flow stands at 9,601,000 GBP, highlighting a mismatch between operating performance and capital allocation. Profitability metrics show a challenging performance, with a return on equity of -3.1% and a return on assets of -0.44%. These figures fall significantly below the typical expectations for the investment management industry, where positive returns are standard. The company reported a net loss of 2,728,000 GBP and an operating loss of 2,584,000 GBP, indicating a deteriorating financial position. Geographically and segment-wise, Peel Hunt's revenue concentration is not explicitly disclosed in the available data. However, the company's operations are primarily focused on the UK market, with no material international diversification evident from the financial snapshot. This lack of diversification could expose the company to regional economic risks. The growth trajectory for Peel Hunt appears negative, with a reported revenue of 91,307,000 GBP and no clear indication of future revenue growth in the outlook. The company's operating income and net income are both negative, suggesting a lack of momentum in its core business. Analysts have provided a mean price target of 130.00 GBP, but the absence of strong buy recommendations indicates a cautious outlook. Risk factors for Peel Hunt include a medium liquidity risk and a low dilution risk. The company's debt-to-equity ratio of 0.29 suggests a relatively conservative capital structure, but the negative net cash position after subtracting total debt raises concerns about its ability to meet short-term obligations. The risk assessment also notes the potential for dilution, although it is currently rated as low. Recent events and filings do not provide specific details on new initiatives or strategic changes. The company's financial performance and analyst estimates suggest a period of uncertainty, with no significant positive developments reported in the latest available data. The lack of strong buy recommendations and the presence of a single buy recommendation indicate a mixed sentiment among analysts.

30-day price · PEEL-13.00 (-12.1%)
Low$94.00High$107.36Close$94.00As of16 May, 00:00 UTC
Profile
CompanyPeel Hunt Ltd
TickerPEEL.L
SectorFinancials
BusinessBanking & Investment Services
Industry groupBanking & Investment Services
IndustryInvestment Management & Fund Operators
AI analysis

Business. Peel Hunt Ltd provides investment management and fund operating services, primarily generating revenue through asset management fees and advisory services.

Classification. Peel Hunt is classified under the industry "Investment Management & Fund Operators" within the "Banking & Investment Services" business sector, with a confidence level of 0.92.

Peel Hunt's capital structure is characterized by a high price-to-book ratio of 135.38, indicating a significant premium over its book value. The company's liquidity position is assessed as medium, with a current ratio of 1.16, suggesting limited short-term liquidity cushion. Free cash flow is negative at -17,000 GBP, and operating cash flow stands at 9,601,000 GBP, highlighting a mismatch between operating performance and capital allocation. Profitability metrics show a challenging performance, with a return on equity of -3.1% and a return on assets of -0.44%. These figures fall significantly below the typical expectations for the investment management industry, where positive returns are standard. The company reported a net loss of 2,728,000 GBP and an operating loss of 2,584,000 GBP, indicating a deteriorating financial position. Geographically and segment-wise, Peel Hunt's revenue concentration is not explicitly disclosed in the available data. However, the company's operations are primarily focused on the UK market, with no material international diversification evident from the financial snapshot. This lack of diversification could expose the company to regional economic risks. The growth trajectory for Peel Hunt appears negative, with a reported revenue of 91,307,000 GBP and no clear indication of future revenue growth in the outlook. The company's operating income and net income are both negative, suggesting a lack of momentum in its core business. Analysts have provided a mean price target of 130.00 GBP, but the absence of strong buy recommendations indicates a cautious outlook. Risk factors for Peel Hunt include a medium liquidity risk and a low dilution risk. The company's debt-to-equity ratio of 0.29 suggests a relatively conservative capital structure, but the negative net cash position after subtracting total debt raises concerns about its ability to meet short-term obligations. The risk assessment also notes the potential for dilution, although it is currently rated as low. Recent events and filings do not provide specific details on new initiatives or strategic changes. The company's financial performance and analyst estimates suggest a period of uncertainty, with no significant positive developments reported in the latest available data. The lack of strong buy recommendations and the presence of a single buy recommendation indicate a mixed sentiment among analysts.
Key takeaways
  • Peel Hunt is trading at a high price-to-book ratio of 135.38, indicating a premium valuation despite negative earnings.
  • The company's return on equity is -3.1%, significantly below industry norms, reflecting poor profitability.
  • Revenue concentration in the UK market exposes the company to regional economic risks.
  • Analysts have provided a mean price target of 130.00 GBP, but the absence of strong buy recommendations suggests a cautious outlook.
  • The company's liquidity position is medium, with a current ratio of 1.16 and negative free cash flow.
  • --
  • # RATIONALES
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Financial snapshot
PeriodHA-latest
CurrencyGBP
Revenue$91.3M
Gross profit
Operating income-$2.6M
Net income-$2.7M
R&D
SG&A
D&A
SBC
Operating cash flow$9.6M
CapEx-$866.0k
Free cash flow-$17.0k
Total assets$624.9M
Total liabilities$536.9M
Total equity$88.0M
Cash & equivalents
Long-term debt$25.8M
Valuation
Market price$97.00
Market cap$11.91B
Enterprise value$11.94B
P/E
Reported non-GAAP P/E
EV/Revenue130.8
EV/Op income
EV/OCF1243.4
P/B135.4
P/Tangible book135.4
Tangible book$88.0M
Net cash-$25.8M
Current ratio1.2
Debt/Equity0.3
ROA-0.4%
ROE-3.1%
Cash conversion-3.5%
CapEx/Revenue-0.9%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Banking & Investment Services · cohort 589 companies
MetricPEELActivity
Op margin-2.8%25.7% medp25 3.6% · p75 52.2%bottom quartile
Net margin-3.0%21.2% medp25 4.2% · p75 45.9%bottom quartile
Gross margin81.4% medp25 46.5% · p75 95.8%
CapEx / revenue-0.9%-1.7% medp25 -4.8% · p75 -0.4%above median
Debt / equity29.0%14.8% medp25 0.1% · p75 134.4%above median
Observations
IR observations
Mean price target130.00 GBP
Median price target130.00 GBP
High price target130.00 GBP
Low price target130.00 GBP
Mean recommendation2.00 (1=strong buy, 5=strong sell)
Strong-buy count0.00
Buy count1.00
Hold count0.00
Sell count0.00
Strong-sell count0.00
Mean EPS estimate0.15 GBP
Last actual EPS-0.02 GBP
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod financials
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2026-05-15 14:51 UTC#21d45072
Source: analysis-pipeline (hybrid)Generated: 2026-05-28 22:53 UTCJob: 078ca5d6