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GCP Infra Invt Shs GBP ( (GB:GCP) ) just unveiled an update.
GCP Infrastructure Investments Ltd announced its annual results for the year ending September 2025, highlighting a portfolio valuation of £858.9 million and a stable dividend of 7.0 pence per share. The company achieved a NAV total return of 3.1% for the year, with a significant reduction in leverage and successful execution of its capital allocation plan, including £80 million from asset disposals. The company plans to engage with shareholders in early 2026 to discuss future capital strategies, continuing its focus on sustainable infrastructure investments.
The most recent analyst rating on (GB:GCP) stock is a Buy with a £90.00 price target. To see the full list of analyst forecasts on GCP Infra Invt Shs GBP stock, see the GB:GCP Stock Forecast page.
Spark’s Take on GB:GCP Stock
According to Spark, TipRanks’ AI Analyst, GB:GCP is a Neutral.
The overall score of 63 reflects a solid financial foundation with strong cash flow and low leverage, offset by significant challenges in income generation and a high P/E ratio. Technical indicators suggest potential near-term weakness, while positive corporate actions indicate management’s confidence, providing a slight enhancement to the stock’s potential.
To see Spark’s full report on GB:GCP stock, click here.
More about GCP Infra Invt Shs GBP
GCP Infrastructure Investments Ltd is a FTSE 250, closed-ended investment company incorporated in Jersey, focusing on providing shareholders with regular, sustained, long-term dividend income while preserving the capital value of its investments. The company invests in a diversified portfolio, primarily in renewable energy, social housing, and PPP/PFI sectors, with a market capitalization of £606.8 million as of September 2025.
Average Trading Volume: 1,885,168
Technical Sentiment Signal: Buy
Find detailed analytics on GCP stock on TipRanks’ Stock Analysis page.

