Bancroft Fund (BCV) has a profit margin of 152.23%, above the sector sector average of 21.44%.
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+ FollowAs of Mar 2026
Trailing 12 months ending Mar 2026
As of the most recent data (March 2026), BCV shows a profit margin of 152.23%. That compares with 159.97% in the prior-year period — down 4.8% year over year. That is above the sector sector average of 21.44%. Scroll down for historical charts and peer comparison views.
Compared with the year-ago period, BCV's profit margin is now 152.23% (was 159.97%) — a 4.8% year-over-year decrease. Pairing that YoY change with peer averages gives a clearer picture of whether Bancroft Fund is outperforming or lagging.
The its sector sector average profit margin is about 21.44%. Bancroft Fund is at 152.23%, which is higher that average. That is roughly 610.2% above the sector mean. Use the comparison chart on this page to see how BCV stacks up against individual peers as well.
That compares with 159.97% in the prior-year period — down 4.8% year over year. Improvement over multiple periods is generally more meaningful than a single strong quarter. Compare Bancroft Fund with peers to see if the move is company-specific or sector-wide.
Besides this profit margin page, Stockcircle has Bancroft Fund's full stock overview, other financial metrics, insider and congress trade tabs, and tools to follow the stock. Together they help you connect profit margin (currently 152.23%) with ownership activity and broader fundamentals.