Data from 2026-02-04 // no previous data
| Rank | Ticker | Company | Price | Mkt Cap | SWC Target |
|---|---|---|---|---|---|
| 1 NEW | PINE | Pinewood Technologies Group PLC | £4.74 | £546m | £1.559 |
| 2 NEW | JCH | JPmorgan Claverhouse Investment Trst PLC | £8.92 | £487m | £1.390 |
| 3 NEW | JEMI | JPMorgan Emerging Markets Dvdnd Incm PLC | £1.84 | £485m | £1.385 |
| 4 NEW | FCH | Funding Circle Holdings PLC | £1.60 | £484m | £1.381 |
| 5 NEW | HFEL | Henderson Far East Income Ltd | £2.44 | £481m | £1.374 |
| 6 NEW | COST | Costain Group PLC | £1.80 | £479m | £1.368 |
| 7 NEW | DFS | DFS Furniture PLC | £2.00 | £468m | £1.337 |
| 8 NEW | CPI | Capita PLC | £3.88 | £465m | £1.328 |
| 9 NEW | FXPO | Ferrexpo Plc | £0.75 | £449m | £1.281 |
| 10 NEW | NAIT | North American Income Trust PLC | £3.85 | £442m | £1.263 |
| 11 NEW | JUGI | Jpmorgan Uk Small Cap Growth & IncomePLC | £3.48 | £435m | £1.243 |
| 12 NEW | PAC | Pacific Assets Trust plc | £3.80 | £434m | £1.240 |
| 13 NEW | PCTN | Picton Property Income Ltd | £0.84 | £432m | £1.232 |
| 14 NEW | NAVF | Nippon Active Value Fund PLC | £2.24 | £431m | £1.231 |
| 15 NEW | BIPS | Invesco Bond Income Plus Ltd | £1.74 | £422m | £1.205 |
| 16 NEW | EOT | European Opportunities Trust PLC | £8.88 | £414m | £1.183 |
| 17 NEW | CRST | Crest Nicholson Holdings PLC | £1.60 | £412m | £1.175 |
| 18 NEW | CREI | Custodian Property Income Reit PLC | £0.88 | £402m | £1.147 |
| 19 NEW | PRV | Porvair plc | £8.64 | £402m | £1.147 |
| 20 NEW | AAIF | Aberdeen Asian Income Fund Ltd | £2.80 | £399m | £1.139 |
| 21 NEW | FAS | Fidelity Asian Values PLC | £6.24 | £398m | £1.136 |
| 22 NEW | FORT | Forterra PLC | £1.85 | £394m | £1.124 |
| 23 NEW | CTPE | CT Private Equity Trust PLC | £5.48 | £392m | £1.119 |
| 24 NEW | PCFT | Polar Capital Global Fincls Trust PLC | £2.38 | £386m | £1.103 |
| 25 NEW | LWI | Lowland Investment Company PLC | £1.75 | £386m | £1.102 |
| 26 NEW | MARS | Marston's PLC | £0.60 | £384m | £1.095 |
| 27 NEW | PBEE | Pensionbee Group PLC | £1.61 | £383m | £1.094 |
| 28 NEW | BMY | Bloomsbury Publishing Plc | £4.64 | £379m | £1.081 |
| 29 NEW | ELIX | Elixirr International PLC | £7.63 | £379m | £1.081 |
| 30 NEW | AJOT | AVI Japan Opportunity Trust PLC | £1.75 | £378m | £1.079 |
| 31 NEW | SJG | Schroder Japan Trust PLC | £3.29 | £377m | £1.076 |
| 32 NEW | DIG | Dunedin Income Growth Investmnt Trst PLC | £3.10 | £373m | £1.064 |
| 33 NEW | XPP | XP Power Ltd | £13.29 | £373m | £1.064 |
| 34 NEW | BRFI | BlackRock Frontiers Investment Trust PLC | £1.91 | £361m | £1.030 |
| 35 NEW | ECOR | Ecora Royalties PLC | £1.38 | £350m | £1.000 |
| 36 NEW | ASC | ASOS plc | £2.92 | £349m | £0.997 |
| 37 NEW | AT | Ashtead Technology Holdings PLC | £4.30 | £347m | £0.991 |
| 38 NEW | TBTG | Beauty Tech Group PLC | £3.17 | £346m | £0.988 |
| 39 NEW | ATG | Auction Technology Group PLC | £2.85 | £345m | £0.985 |
| 40 NEW | NCYF | CQS New City High Yield Fund Ltd | £0.51 | £341m | £0.975 |
| 41 NEW | HHI | Henderson High Income Trust plc | £2.01 | £341m | £0.973 |
| 42 NEW | CTUK | CT UK Capital and Income Invst Trust PLC | £3.59 | £341m | £0.973 |
| 43 NEW | HFD | Halfords Group plc | £1.54 | £337m | £0.961 |
| 44 NEW | PAY | Paypoint plc | £5.41 | £336m | £0.959 |
| 45 NEW | FSFL | Foresight Solar Fund Ltd | £0.61 | £336m | £0.959 |
| 46 NEW | BGS | Baillie Gifford Shin Nippon PLC | £1.35 | £331m | £0.945 |
| 47 NEW | ANII | Aberdeen New India Investment Trust PLC | £7.44 | £330m | £0.943 |
| 48 NEW | JAGI | Jpmorgan Asia Growth & Income PLC | £4.87 | £328m | £0.936 |
| 49 NEW | PZC | PZ Cussons plc | £0.76 | £325m | £0.928 |
| 50 NEW | SBRE | Sabre Insurance Group PLC | £1.31 | £323m | £0.922 |
| 51 NEW | PRTC | Puretech Health PLC | £1.32 | £317m | £0.906 |
| 52 NEW | BGEU | Baillie Gifford European Growth Trst PLC | £1.05 | £317m | £0.905 |
| 53 NEW | OTB | On The Beach Group PLC | £2.19 | £317m | £0.904 |
| 54 NEW | CCJI | CC Japan Income and Growth Trust PLC | £2.35 | £317m | £0.904 |
| 55 NEW | NXR | Norcros plc | £3.50 | £315m | £0.899 |
| 56 NEW | MER | Mears Group PLC | £3.62 | £313m | £0.894 |
| 57 NEW | NRR | Newriver Reit PLC | £0.72 | £311m | £0.888 |
| 58 NEW | SSIT | Seraphim Space Investment Trust PLC | £1.31 | £311m | £0.887 |
| 59 NEW | SST | Scottish Oriental Smaller Co's Trust PLC | £2.74 | £310m | £0.885 |
| 60 NEW | GYM | GYM Group PLC | £1.72 | £308m | £0.880 |
| 61 NEW | VANQ | Vanquis Banking Group PLC | £1.18 | £306m | £0.874 |
| 62 NEW | SMIF | TwentyFour Select Monthly Income Fnd Ltd | £0.88 | £304m | £0.869 |
| 63 NEW | ARR | Aurora UK Alpha PLC | £2.76 | £304m | £0.867 |
| 64 NEW | SOHO | Social Housing REIT plc | £0.77 | £302m | £0.862 |
| 65 NEW | CAPD | Capital Ltd | £1.33 | £299m | £0.853 |
| 66 NEW | CVCG | CVC Income & Growth Ltd GBP | £1.21 | £298m | £0.851 |
| 67 NEW | ORIT | Octopus Renewables Infrastructr Trst PLC | £0.56 | £297m | £0.848 |
| 68 NEW | IBT | International Biotechnology Trust Plc | £9.30 | £297m | £0.847 |
| 69 NEW | ESNT | Essentra PLC | £1.03 | £294m | £0.840 |
| 70 NEW | NESF | NextEnergy Solar Fund Ltd | £0.51 | £293m | £0.838 |
| 71 NEW | SUS | S&U PLC | £23.84 | £290m | £0.827 |
| 72 NEW | IGET | Invesco Global Equity Income Trust PLC | £3.69 | £288m | £0.824 |
| 73 NEW | MNL | Manchester & London Investment Trust plc | £7.48 | £284m | £0.812 |
| 74 NEW | STB | Secure Trust Bank Plc | £14.60 | £279m | £0.796 |
| 75 NEW | GSF | Gore Street Energy Storage Fund PLC | £0.55 | £278m | £0.793 |
| 76 NEW | ENRG | VH Global Energy Infrastructure PLC | £0.70 | £277m | £0.791 |
| 77 NEW | LSL | LSL Property Services plc | £2.73 | £276m | £0.789 |
| 78 NEW | SREI | Schroder Real Estate Investment Trst Ltd | £0.56 | £275m | £0.786 |
| 79 NEW | RECI | Real Estate Credit Investments Ltd | £1.24 | £275m | £0.785 |
| 80 NEW | MCB | McBride plc | £1.54 | £273m | £0.780 |
| 81 NEW | STS | STS Global Income & Growth Trust PLC | £2.34 | £271m | £0.773 |
| 82 NEW | LUCE | Luceco PLC | £1.67 | £269m | £0.767 |
| 83 NEW | BRK | Brooks Macdonald Group plc | £16.30 | £259m | £0.739 |
| 84 NEW | AUSC | Abrdn UK Smlr Cmpn Grth Trst PLC | £5.18 | £258m | £0.737 |
| 85 NEW | BOOT | Henry Boot plc | £1.91 | £256m | £0.732 |
| 86 NEW | OIT | Odyssean Investment Trust PLC | £1.84 | £253m | £0.723 |
| 87 NEW | BIOG | Biotech Growth Trust PLC | £12.20 | £253m | £0.723 |
| 88 NEW | GMS | Gulf Marine Services PLC | £0.22 | £251m | £0.715 |
| 89 NEW | SCP | Schroder UK Mid Cap Fund PLC | £7.34 | £248m | £0.708 |
| 90 NEW | CLI | CLS Holdings plc | £0.61 | £241m | £0.689 |
| 91 NEW | CARD | Card Factory PLC | £0.70 | £241m | £0.687 |
| 92 NEW | HLCL | Helical PLC | £1.95 | £241m | £0.687 |
| 93 NEW | ENQ | Enquest Plc | £0.13 | £240m | £0.686 |
| 94 NEW | JCGI | Jpmorgan China Growth & Income PLC | £2.89 | £240m | £0.685 |
| 95 NEW | STEM | SThree Plc | £1.86 | £238m | £0.680 |
| 96 NEW | SCF | Schroder Income Growth Fund PLC | £3.52 | £238m | £0.680 |
| 97 NEW | MWY | Mid Wynd International Invest Trust PLC | £7.42 | £236m | £0.675 |
| 98 NEW | BGUK | Baillie Gifford UK Growth Trust PLC | £2.05 | £236m | £0.673 |
| 99 NEW | KMR | Kenmare Resources plc | £2.55 | £227m | £0.648 |
| 100 NEW | EGL | Ecofin Glbl Utlits and Infrstrc Trst PLC | £2.40 | £225m | £0.643 |
| 101 NEW | VP | Vp plc | £5.60 | £225m | £0.642 |
| 102 NEW | GLE | MJ Gleeson PLC | £3.84 | £224m | £0.641 |
| 103 NEW | JUSC | JPMorgan US Smaller Co Inv Trust PLC | £4.16 | £221m | £0.630 |
| 104 NEW | FSJ | James Fisher and Sons PLC | £4.31 | £219m | £0.624 |
| 105 NEW | AEI | Aberdeen Equity Income Trust PLC | £4.33 | £217m | £0.621 |
| 106 NEW | FSTA | Fuller Smith & Turner PLC | £6.78 | £216m | £0.617 |
| 107 NEW | MTE | Montanaro European Smllr Cmpns Trst PLC | £1.64 | £216m | £0.616 |
| 108 NEW | TTG | TT Electronics plc | £1.18 | £210m | £0.600 |
| 109 NEW | ZTF | Zotefoams plc | £4.23 | £208m | £0.595 |
| 110 NEW | RCH | Reach PLC | £0.64 | £203m | £0.580 |
| 111 NEW | CABP | Cab Payments Holdings PLC | £0.80 | £202m | £0.577 |
| 112 NEW | CLIG | City of London Investment Group PLC | £3.84 | £194m | £0.554 |
| 113 NEW | MGCI | M&G Credit Income Investment Trust PLC | £0.94 | £193m | £0.552 |
| 114 NEW | OIG | Oryx International Growth Fund Ltd | £13.55 | £190m | £0.542 |
| 115 NEW | DIVI | Diverse Income Trust PLC | £1.15 | £186m | £0.532 |
| 116 NEW | BERI | Blackrock Energy and Rsrcs Incm Trst PLC | £1.79 | £183m | £0.522 |
| 117 NEW | BGCG | Baillie Gifford China Growth Trust PLC | £3.07 | £176m | £0.503 |
| 118 NEW | CNE | Capricorn Energy PLC | £2.50 | £176m | £0.502 |
| 119 NEW | FDM | FDM Group (Holdings) PLC | £1.57 | £172m | £0.492 |
| 120 NEW | RGL | Regional REIT Ltd | £1.06 | £172m | £0.491 |
| 121 NEW | AEWU | Aew UK Reit PLC | £1.08 | £172m | £0.491 |
| 122 NEW | SNWS | Smiths News PLC | £0.68 | £169m | £0.482 |
| 123 NEW | FRGT | Franklin Global Trust PLC | £3.39 | £164m | £0.467 |
| 124 NEW | PSDL | Phoenix Spree Deutschland Ltd | £1.70 | £156m | £0.444 |
| 125 NEW | AUGM | Augmentum Fintech PLC | £0.93 | £155m | £0.442 |
| 126 NEW | BASC | Brown Advisory US Smaller Companies PLC | £13.65 | £155m | £0.442 |
| 127 NEW | FOXT | Foxtons Group PLC | £0.52 | £153m | £0.436 |
| 128 NEW | LABS | Life Science REIT PLC | £0.43 | £152m | £0.435 |
| 129 NEW | MCG | Mobico Group PLC | £0.25 | £152m | £0.434 |
| 130 NEW | LIO | Liontrust Asset Management PLC | £2.38 | £148m | £0.424 |
| 131 NEW | SEC | Strategic Equity Capital PLC | £3.88 | £145m | £0.415 |
| 132 NEW | BRLA | Blackrock Latin Amercn Invstmnt Trst PLC | £4.91 | £144m | £0.412 |
| 133 NEW | HSW | Hostelworld Group PLC | £1.16 | £144m | £0.410 |
| 134 NEW | AGVI | Aberforth Geared Value & Income Trst PLC | £0.89 | £143m | £0.410 |
| 135 NEW | MAJE | Majedie Investments plc | £2.70 | £143m | £0.409 |
| 136 NEW | CHI | CT UK High Income Trust Plc | £1.17 | £142m | £0.404 |
| 137 NEW | TMIP | Taylor Maritime Ltd | £0.58 | £140m | £0.400 |
| 138 NEW | CYN | CQS Natural Rsrcs Grwth Inc PLC | £3.82 | £140m | £0.399 |
| 139 NEW | APTD | Aptitude Software Group PLC | £2.50 | £138m | £0.395 |
| 140 NEW | SWC | The Smarter Web Company PLC | £0.39 | £138m | £0.394 |
| 141 NEW | BRAI | Blackrock American Income Trust PLC | £2.37 | £134m | £0.382 |
| 142 NEW | ECEL | Eurocell PLC | £1.30 | £130m | £0.371 |
| 143 NEW | SHRS | Shires Income plc | £3.21 | £127m | £0.362 |
| 144 NEW | LTI | Lindsell Train Investment Trust PLC | £0.06 | £124m | £0.354 |
| 145 NEW | MTU | Montanaro UK Smllr Cmpns nvstmnt Trst PL | £1.05 | £122m | £0.349 |
| 146 NEW | TET | Treatt plc | £2.05 | £122m | £0.348 |
| 147 NEW | EVOK | Evoke PLC | £0.26 | £118m | £0.338 |
| 148 NEW | SDY | Speedy Hire Plc | £0.26 | £118m | £0.338 |
| 149 NEW | GABI | GCP Asset Backed Income Fund Ltd | £0.68 | £117m | £0.333 |
| 150 NEW | AFL | Artemis UK Future Leaders PLC | £3.91 | £116m | £0.332 |
| 151 NEW | SHI | SIG plc | £0.10 | £114m | £0.327 |
| 152 NEW | MACF | Macfarlane Group PLC | £0.72 | £113m | £0.323 |
| 153 NEW | MOTR | Motorpoint Group PLC | £1.35 | £113m | £0.322 |
| 154 NEW | REC | Record Plc | £0.56 | £112m | £0.319 |
| 155 NEW | TLW | Tullow Oil plc | £0.07 | £110m | £0.315 |
| 156 NEW | ASLI | abrdn European Logistics Income PLC | £0.27 | £110m | £0.314 |
| 157 NEW | IGC | India Capital Growth Fund Ltd | £1.63 | £109m | £0.312 |
| 158 NEW | TRI | Trifast plc | £0.78 | £106m | £0.303 |
| 159 NEW | RESI | Residential Secure Income PLC | £0.57 | £106m | £0.301 |
| 160 NEW | BBH | Bellevue Healthcare Trust PLC | £1.43 | £105m | £0.300 |
| 161 NEW | RIII | Rights and Issues Investment Trust PLC | £21.20 | £101m | £0.289 |
| 162 NEW | RM | RM plc | £1.03 | £101m | £0.288 |
| 163 NEW | JEMA | JPMorgan Emng Erp Mdl Est&Afrc Scrts PLC | £2.49 | £101m | £0.288 |
| 164 NEW | GOT | Global Opportunities Trust PLC | £3.43 | £98m | £0.280 |
| 165 NEW | INOV | Schroders Capital Global Innvtn Trst PLC | £0.15 | £95m | £0.270 |
| 166 NEW | SYNT | Synthomer PLC | £0.57 | £93m | £0.266 |
| 167 NEW | MMIT | Mobius Investment Trust PLC | £1.41 | £93m | £0.264 |
| 168 NEW | RWA | Robert Walters PLC | £1.25 | £90m | £0.258 |
| 169 NEW | PHAR | Pharos Energy PLC | £0.21 | £89m | £0.255 |
| 170 NEW | TPT | Topps Tiles Plc | £0.43 | £85m | £0.244 |
| 171 NEW | SERE | Schroder European Real Est Invt Tr PLC | £0.65 | £85m | £0.243 |
| 172 NEW | XAR | Xaar plc | £1.06 | £85m | £0.243 |
| 173 NEW | SFR | Severfield PLC | £0.29 | £85m | £0.242 |
| 174 NEW | ADIG | abrdn Diversified Income and Growth PLC | £0.28 | £84m | £0.239 |
| 175 NEW | RKW | Rockwood Strategic PLC | £3.04 | £82m | £0.233 |
| 176 NEW | VIP | Value and Indexed Property IncomTrstPLC | £2.00 | £81m | £0.231 |
| 177 NEW | VNH | VietNam Holding Ltd | £3.79 | £72m | £0.207 |
| 178 NEW | BMS | Braemar PLC | £2.12 | £70m | £0.201 |
| 179 NEW | MIGO | Migo Opportunities Trust PLC | £3.90 | £68m | £0.194 |
| 180 NEW | FVA | Fevara PLC | £1.33 | £68m | £0.193 |
| 181 NEW | JARA | JPMorgan Global Core Real Assets Ltd | £0.81 | £61m | £0.174 |
| 182 NEW | STVG | STV Group PLC | £1.14 | £53m | £0.152 |
| 183 NEW | RSE | Riverstone Energy Ltd | £7.16 | £52m | £0.150 |
| 184 NEW | DGI9 | Digital 9 Infrastructure PLC | £0.06 | £47m | £0.135 |
| 185 NEW | RMII | RM Infrastructure Income PLC | £0.62 | £47m | £0.134 |
| 186 NEW | PCA | Palace Capital PLC | £2.14 | £43m | £0.124 |
| 187 NEW | HEAD | Headlam Group plc | £0.43 | £35m | £0.099 |
| 188 NEW | SWEF | Starwood European Real Estate Financ Ltd | £0.90 | £21m | £0.060 |
| 189 NEW | VID | Videndum PLC | £0.12 | £12m | £0.035 |