Page 133 - Profile's Stock Exchange Handbook - 2025 Issue 1
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Profile’s Stock Exchange Handbook: 2025 – Issue 1                        JSE – INV
                    Investec Ltd.                               Investec plc
        INV                                        INV
       ISIN: ZAE000081949  SHORT: INVLTD  CODE: INL  ISIN: GB00B17BBQ50  SHORT: INVPLC  CODE: INP
       ISIN: ZAE000063814  SHORT: INVLTDPREF  CODE: INPR  ISIN: GB00B4B0Q974  SHORT: INVPREFR  CODE: INPPR
       REG NO: 1925/002833/06  FOUNDED: 1974  LISTED: 1986  ISIN: GB00B19RX541  SHORT: INVPREF  CODE: INPP
       NATURE OF BUSINESS: Investec partners with private, institutional, and  REG NO: 3633621  FOUNDED: 2002  LISTED: 2002
        corporate clients, offering international banking, investments, and wealth  NATURE OF BUSINESS: Investec partners with private, institutional, and
        management services in two principal markets, South Africa, and the UK, as  corporate clients, offering international banking, investments, and wealth
        well as certain other countries. The Group was established in 1974 and  management services in two principal markets, South Africa, and the UK, as
        currently has7 500+employees.Investechasaduallistedcompany structure  well as certain other countries. The Group was established in 1974 and
        with primary listings on the London and Johannesburg Stock Exchanges.  currently has7 500+employees.Investechasaduallistedcompany structure
       SECTOR: Fins—Banks—Banks—Banks              with primary listings on the London and Johannesburg Stock Exchanges.
       NUMBER OF EMPLOYEES: 7 500                 SECTOR: Fins—Banks—Banks—Banks
       DIRECTORS: Baldock H (ne, UK), Koseff S (ne), Newton-King N (ne),  NUMBER OF EMPLOYEES: 7 500
        Nyker J (ne), Olver V (ind ne), Radley D (ne), Stevenson B (ne),  DIRECTORS: Baldock H (UK), Friedland D (ind ne), Koseff S (ne),
        Hourquebie P (Chair, ne), Titi F (CEO), Samujh N A (CFO)  Newton-King N (ne), Nyker J (ne), Olver V (ind ne), Radley D (ne),
       MAJOR ORDINARY SHAREHOLDERS as at 06 Dec 2024  Shuenyane K L (ind ne), Stevenson B (ne), Wainwright R J, Whelan C (Ire),
         Public Investment Corporation (SOC) Ltd.  15.07%  Hourquebie P (Chair, ne), Titi F (CEO), Samujh N A (CFO)
         IGL Share Scheme (UK & ZA)        8.10%  MAJOR ORDINARY SHAREHOLDERS as at 06 Dec 2024
         Investec Staff Share Schemes (UK & ZA)  7.60%  Public Investment Corporation (SOC) Ltd.  15.07%
       POSTAL ADDRESS: PO Box 785700, Sandton, 2196  Investec Staff Share Schemes (UK & ZA)  8.40%
       MORE INFO: www.sharedata.co.za/sdo/jse/INL   M&G Investments (UK & ZA)         6.70%
       COMPANY SECRETARY: Niki van Wyk            POSTAL ADDRESS: 2 Gresham Street, London, EC2V 7QP,
       TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.  United Kingdom, EC2V 7QP
       SPONSOR: Investec Bank Ltd.                MORE INFO: www.sharedata.co.za/sdo/jse/INP
       AUDITORS: Deloitte & Touche Inc., PricewaterhouseCoopers Inc.  COMPANY SECRETARY: David Miller
                                                  TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.
       CAPITAL STRUCTURE   AUTHORISED     ISSUED  SPONSORS: Investec Bank Ltd., Merrill Lynch SA (Pty) Ltd.
       INL  Ords of 0.02c ea  612 999 388  295 125 806  AUDITORS: Deloitte LLP
       INPR  Prefs 1c ea     100 000 000  24 835 843
                                                  CAPITAL STRUCTURE   AUTHORISED     ISSUED
       DISTRIBUTIONS [GBPp]                       INP  Ords GBP0.02 ea        -    696 082 618
       Ords of 0.02c ea      Ldt    Pay     Amt   INPP  Prefs GBP0.01 ea  100 000 000  2 754 587
       Interim No 137    10 Dec 24  31 Dec 24  16.50  INPPR  Prefs 0.01c ea   -      131 447
       Final No 136      20 Aug 24  6 Sep 24  19.00
                                                  DISTRIBUTIONS [GBPp]
       LIQUIDITY: Jan25 Avg 3m shares p.w., R409.9m(55.7% p.a.)  Ords GBP0.02 ea  Ldt  Pay  Amt
               BANK       40 Week MA   INVLTD     Interim No 45     10 Dec 24  31 Dec 24  16.50
                                                  Final No 44       20 Aug 24  6 Sep 24  19.00
                                           14040
                                                  LIQUIDITY: Jan25 Avg 5m shares p.w., R668.5m(38.4% p.a.)
                                           11766
                                                          BANK       40 Week MA   INVPLC
                                           9492
                                                                                       14204
                                           7219
                                                                                       11883
                                           4945                                        9562
                                           2671                                        7241
          2020  |  2021  |  2022  |  2023  |  2024  |
       NOTES: Investec Ltd. historical prices were adjusted to reflect the
        unbundling of Ninety One Ltd. on 25 May 2022.                                  4920
       FINANCIAL STATISTICS                                                            2599
                                                      2020  |  2021  |  2022  |  2023  |  2024  |
       (GBP million)  Sep 24  Mar 24  Mar 23  Mar 22  Mar 21
                   Interim  Final Final(rst) Final(rst) Final(rst)  NOTES: Investec plc historical prices were adjusted to reflect the
       Interest Paid  1 443  2 785  1 920  1 006  1 144  unbundling of Ninety One Ltd. on 25 May 2022.
       Interest Rcvd  2 127  4 124  3 187  1 951  1 922  FINANCIAL STATISTICS
       Operating Inc  475  847   745   728  377   (GBP million)  Sep 24  Mar 24  Mar 23  Mar 22  Mar 21
       Minority Int    -    13    13   40   - 10              Interim Final(rst) Final(rst) Final(rst) Final(rst)
       Attrib Inc     313  892   764   516  268   Interest Paid  1 443  2 785  1 920  1 006  1 144
       TotCompIncLoss  380  791  479   738  524   Interest Rcvd  2 127  4 124  3 187  1 951  1 922
       Ord SH Int    5 537  5 347  4 721  5 025  4 570  Operating Inc  475  847  745  728  377
       Dep & OtherAcc  43 281  42 955  43 173  43 297  36 853  Minority Int  -  13  13  40  - 10
       Liabilities  51 435  50 122  52 584  53 990  46 138  Attrib Inc  313  892  764  516  268
       Inv & Trad Sec  2 838  2 403  1 442  972  -  TotCompIncLoss  380  791  479  738  524
       Adv & Loans  33 014  32 096  31 979  32 862  29 183  Ord SH Int  5 537  5 347  4 721  5 025  4 570
       ST Dep & Cash  4 807  6 279  6 438  5 998  3 517  Dep & OtherAcc  43 218  42 955  43 173  43 297  36 853
       Total Assets  58 114  56 569  57 892  59 727  51 450
                                                  Liabilities  51 435  50 122  52 584  53 990  46 138
       PER SHARE STATISTICS (cents per share)     Inv & Trad Sec  948  962  1 442  972   -
       HEPS-C (ZARc)  855.00 1 716.07 1 398.00 1 083.00  530.85  Adv & Loans  33 014  32 096  31 979  32 862  29 183
       DPS (ZARc)   379.93  795.36  701.00  475.90  261.98  ST Dep & Cash  4 807  6 279  6 438  5 998  3 517
       NAV PS (ZARc)  13 302.00 13 369.15 11 195.98 9 810.00 8 725.54  Total Assets  58 114  56 569  57 892  59 727  51 450
       3 Yr Beta     1.24  1.15  1.12  1.57  1.54
       Price Prd End  13 119  12 493  9 812  9 073  4 048  PER SHARE STATISTICS (cents per share)
       Price High   14 402  12 800  11 828  9 115  4 327  HEPS-C (ZARc)  855.00 1 716.07 1 398.00 1 083.00  530.48
       Price Low    11 300  9 647  6 775  4 151  2 633  DPS (ZARc)  379.93  443.58  701.00  475.90  261.98
       RATIOS                                     NAV PS (ZARc)  13 302.00 13 511.00 11 195.98 9 810.00 8 719.49
       Ret on SH Fund  11.07  16.53  14.64  9.70  4.87  3 Yr Beta  1.25  1.17  1.12  1.57  1.63
       RetOnTotalAss  1.64  1.50  1.29  1.22  0.74  Price Prd End  13 100  12 628  9 812  9 073  4 225
       Interest Mgn  0.02  0.02  0.02  0.02  0.02  Price High  14 550  12 975  11 828  9 115  4 568
       LiquidFnds:Dep  0.11  0.15  0.15  0.14  0.10  Price Low  11 300  9 758  6 775  4 151  2 581
                                                  RATIOS
                                                  Ret on SH Fund  5.53  16.53  14.64  9.70  4.87
                                                  RetOnTotalAss  0.82  1.50  1.29  1.22  0.74
                                                  Interest Mgn  0.01  0.02  0.02  0.02  0.02
                                                  LiquidFnds:Dep  0.11  0.15  0.15  0.14  0.10
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