JZ Capital Partners Ltd

Research JZ Capital Partners Ltd (JZCP) on Bullrun: market cap GBX 10.56B, P/E 29.2. Explore financials, valuation history, model signals, and stock context.

Key Metrics

Valuation Snapshot

latest market cap is GBX 10.56B; P/E is 29.2.

Peer valuation comparison

Latest P/E is 29.17x versus a Financial Services sector median of 13.84x (110.8% above).

Latest P/E is 29.17x versus a United States median of 24.87x (17.3% above).

Five-year financial history

YearRevenueNet incomeFree cash flowGross marginDiluted EPSCashTotal debtEquity
FY2026USD 6.97MUSD 4.86MUSD 35.54Mn/a0.08USD 30.66Mn/aUSD 249.53M
FY2025USD 1.60M-USD 1.13MUSD 51.84Mn/a-0.02USD 25.07Mn/aUSD 274.67M
FY2024USD 2.99MUSD 1.61MUSD 52.55Mn/a0.02USD 13.37Mn/aUSD 316.11M
FY2023USD 5.68MUSD 2.65MUSD 73.14Mn/a0.03USD 11.06MUSD 43.18MUSD 314.50M
FY2022USD 7.93MUSD 4.19MUSD 42.73Mn/a0.05USD 43.66MUSD 74.87MUSD 311.85M

Valuation history

YearSnapshot dateMarket capP/EDividend yieldAnnual dividend/share
20262026-08-10GBX 10.56B29.2n/a0

Dividend history

Latest trailing dividend snapshot: annual dividend/share 0 GBX.

About JZ Capital Partners Ltd

JZ Capital Partners Limited specializes in micro-cap buyouts, mid venture, distressed debt, structured financings, mezzanine loans; other mezzanine and equity opportunities, and purchases of publicly traded securities in middle market companies. The firm prefers to invest in companies having enterprise value of at most $200 million. It invests in companies operating in the real estate, consumer, healthcare, chemical, and industrial sector. The fund seeks to invest in the United States and Europe.

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Frequently asked questions

What is JZ Capital Partners Ltd's market cap?

JZ Capital Partners Ltd's market capitalization is GBX 10.56B.

What is JZ Capital Partners Ltd's P/E ratio?

JZ Capital Partners Ltd's price-to-earnings (P/E) ratio is 29.2.

What does JZ Capital Partners Ltd do?

JZ Capital Partners Limited specializes in micro-cap buyouts, mid venture, distressed debt, structured financings, mezzanine loans; other mezzanine and equity opportunities, and purchases of publicly traded securities in middle market companies. The firm prefers to invest in companies having enterprise value of at most $200 million. It invests in companies operating in the real estate, consumer, healthcare, chemical, and industrial sector. The fund seeks to invest in the United States and Europe.