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LSE, MRC: Mercantile Investment Trust Plc

19 Jun 2026
LAST:

267.0

CHANGE:
 2.00
OPEN:
268.0
HIGH:
269.0
ASK:
239.0
VOLUME:
3.24M
CHG(%):
0.74
PREV:
269.0
LOW:
264.8
BID:
201.0
 

CHART

RECENT END OF DAY PRICES

DateOpenHighLowCloseVolume
19 Jun 26268.0269.0264.8267.03.24M
18 Jun 26268.5269.5265.5269.02.35M
17 Jun 26270.0271.5267.7270.02.18M
16 Jun 26269.5270.3268.3269.0815.4K
15 Jun 26272.5274.7268.5268.51.24M
12 Jun 26266.5270.5266.5269.01.74M
11 Jun 26262.5266.5262.5264.01.86M
10 Jun 26264.5267.0261.5266.01.9M
09 Jun 26265.5268.5264.0264.06.45M
08 Jun 26266.0266.5263.2266.06.2M

PROFILE

Name:Mercantile Investment Trust Plc
About: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.
Industry:Asset Management
Address:60 Victoria Embankment, London, United Kingdom, EC4Y 0JP
Website:https://am.jpmorgan.co.uk/investment-trusts/trusts
ISIN:GB00BF4JDH58
LEI:549300BGX3CJIHLP2H42

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FUNDAMENTALS

Trailing P/E:82.33 
Price to Sales:6.68 
Price to Book:90.34 
EPS Ratio:0.03 
DivYield:0.03 
Div/Share:0.08 
Revenue:265.84M 
Shares:663.89M 
Market Cap:177.259B 

TECHNICAL INDICATORS

MA5:268.700.6%
MA10:267.250.1%
MA20:267.400.1%
MA50:264.281.0%
MA100:260.302.6%
MA200:256.764.0%
STO9:28.09
STO14:28.09
RSI14:56.41
WPR14:-50.00
MTM14:0.50
ROC14:0.00 
ATR:4.21 
Week High:274.682.9%
Week Low:264.810.8%
Month High:274.682.9%
Month Low:256.004.0%
Year High:274.682.9%
Year Low:234.3114.0%
Volatility:10.92 

RECENT SPLITS

Date Ratio
25 May 201810-1

RECENT DIVIDENDS

Date Amount
05 Jun 2025$0.02
10 Apr 2025$0.03
19 Dec 2024$0.02
26 Sep 2024$0.02
20 Jun 2024$0.02
11 Apr 2024$0.03
21 Dec 2023$0.01
28 Sep 2023$0.01
22 Jun 2023$0.01
06 Apr 2023$0.03