# Sherborne Investors (Guernsey) C Limited (SIGC.L) fundamentals

Data as of 2026-09-08. LSE, United Kingdom. Sector: Financial Services / Capital Markets. Price 31p, market value 199 millionp.

## Valuation
- **P/E (trailing): n/a** (negative earnings). Sherborne Investors (Guernsey) C Limited reported negative earnings over the last twelve months, so the P/E is not meaningful; use price-to-sales, EV/EBITDA and free-cash-flow yield instead.
- **Price / book: 0.5×**. The shares trade below book value, which can signal a bargain or a balance sheet the market doubts.
- **Free-cash-flow yield: -0.4%** (5-yr avg -0.0%). Free cash flow is negative: the business is consuming cash, which is normal for heavy investment phases but a warning otherwise.

## Profitability
- **Gross margin: 100.0%**. Sherborne Investors (Guernsey) C Limited keeps 100.0% of revenue after the direct cost of what it sells, the kind of margin that comes with software, brands or pricing power.
- **Operating margin: 102.3%**. 102.3% of revenue is left after running the business, an exceptional level.
- **Net margin: 102.3%**. 102.3% of each dollar of sales reaches the bottom line.
- **Return on equity: -10.0%**. Return on equity is negative because earnings are negative.
- **Return on assets: -10.0%**. Each dollar of assets produces -10.0% of profit; low single digits are normal for banks and insurers.

## Growth
- **Revenue growth (1 yr): 70.5%**. Revenue grew 70.5% over the last year.
- **EPS growth (1 yr): 100.0%**. Earnings per share rose 100.0%, faster than revenue, so margins expanded or the share count shrank.

## Financial health
- **Piotroski F-score: 4/9**. 4 of 9 checks pass: mixed.

## Dividends
- **Dividend yield: 0.33%**. Sherborne Investors (Guernsey) C Limited yields 0.33%, a modest yield more typical of a growth-oriented payer.
- **Shareholder yield: 2.3%**. Dividends plus net buybacks return 2.3% of the market value a year.

## Price and momentum
- **Total return (1 yr): -30.2%** (YTD -26.7%, 3-mo -5.3%). The shares are down 30.2% over twelve months including dividends.
- **From 52-week high: -32.5%** (9900.0% above the low). Trading 33% below its 52-week high, deep in a drawdown.
- **200-day average: below**. The price sits below its 200-day moving average, the usual definition of a downtrend.
- **RSI (14-day): 53**. An RSI of 53 is neutral.

Live score and charts: https://foliofundamentals.com/analyzer?s=SIGC.L · Page: https://foliofundamentals.com/stocks/sigc.l

Not investment advice.
