Picton Property Income Limited (LON:PCTN)

London flag London · Delayed Price · Currency is GBP · Price in GBX
78.00
+0.80 (1.04%)
May 1, 2026, 4:38 PM GMT
Market Cap398.35M +3.3%
Revenue (ttm)52.65M -4.0%
Net Income40.96M +403.8%
EPS0.08 +412.1%
Shares Out510.71M
PE Ratio10.22
Forward PE18.51
Dividend0.04 (4.87%)
Ex-Dividend DateMay 7, 2026
Volume345,676
Average Volume680,507
Open79.80
Previous Close77.20
Day's Range76.76 - 79.80
52-Week Range70.50 - 91.00
Beta0.45
RSI45.77
Earnings DateMay 21, 2026

About Picton Property Income

Picton Property Income Limited is listed on the main market of the London Stock Exchange and is a constituent of a number of EPRA indices including the FTSE EPRA Nareit Global Index. Picton owns and actively manages a 699 million pounds UK commercial property portfolio, invested across 46 assets and with around 300 occupiers (as of 31 December 2025). Through an occupier focused, opportunity led approach, Picton aims to be the consistently best performing diversified UK REIT and has delivered upper quartile outperformance and a consistently high... [Read more]

Founded 2005
Employees 12
Stock Exchange London Stock Exchange
Ticker Symbol PCTN
Full Company Profile

Financial Performance

Financial Statements

News

Picton Property Income Transcript: Status update

Profit after tax reached £22.5 million with a 5.3% total return, supported by strong NAV growth and accretive share buybacks. Capital investment and refurbishments are driving higher rents and improved leasing, while a strategic review is underway to maximize shareholder value.

2 months ago - Transcripts

Picton Property Income Earnings Call Transcript: H1 2026

Half-year results showed increased profit, NAV, and total return, driven by strong industrial performance and accretive share buybacks. Significant reversionary potential remains, with major lease events and asset upgrades expected to unlock further value in the coming years.

6 months ago - Transcripts

Picton Property Income Earnings Call Transcript: H2 2025

Strong financial performance with £37m profit, 8% total return, and 4% NAV growth, driven by industrial assets and strategic disposals. Share buybacks at a discount and reduced office exposure supported earnings, while ongoing investment targets further income growth.

1 year ago - Transcripts