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Aberdeen Asset Management PLC is an international investment management group, managing assets for both institutions and private individuals from offices around the world.

Website:
http://www.aberdeen-asset.com
Phone:
+44 (0)207 463 6000
Address:
10 Queen?s Terrace, Aberdeen AB10 1YG.
Super Sector:
Nonequity Investment Instruments
Sector:
General Financial
Industry:
Asset Managers
EPIC / Symbols:
LON:ADN
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*subject to change and depends on individual circumstances.

Aberdeen Asset Management RNS Press Releases

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Aberdeen Asset Management Articles, News, and Media Files

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Broker press

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  • 14/04/15

    14.04.15 :-12.7, (493.8) RBC Capital downgrades its rating to "underperform" from "sector perform" and cut its price target to 455p from 475p.

  • 24/03/15
    +3.40 +478.20

    RBC Capital reiterates its "neutral" rating but cut its price target to 475p from 500p.

  • 19/03/15
    +3.00 +472.70

    Morgan Stanley reiterates its "underweight" rating and cut its price target to 408p from 415p.

  • 04/02/15
    +0.35 +425.35

    UBS reiterates its "neutral" rating but raised its price target to 425p from 415p.

  • 10/12/14

    10.12.14 :-5.6, (439.2) Citigroup downgrades its rating to "neutral" from "buy". The broker has a 470p price target.

Director dealings

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Date Director Trans Amount Type Price(p) Value (£) Holding %
16/01/15 R.S. Mully BUY 15,000 ORD 402.10 60,315 30,000 N/A
04/12/14 S.R.V. Troughton BUY 20,000 ORD 462.00 92,400 60,000 N/A
02/12/14 W.J. Rattray SELL 242,094 ORD 461.10 1,116,295 2,298,792 0.17
02/12/14 W.J. Rattray EX 242,094 OPT 0.00 0 0,000 N/A
02/12/14 A.A. Laing SELL 173,589 ORD 461.10 800,419 42,680 N/A

BASIC RESULTS INFORMATION

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Date Type Turnover Profit EPS (p) Dividend (p) Currency
30/09/14 Full year 1,117.60 354.60 23.54 18.00 GBX
31/03/14 Interim 503.50 168.70 10.98 6.75 GBX
30/09/13 Full year 1,078.50 390.30 27.16 16.00 GBX
31/03/13 Interim 516.00 188.20 12.81 6.00 GBX
30/09/12 Full year 869.20 269.70 18.88 11.50 GBX

DIVIDEND HISTORY

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Currency Ex-Date Pay Date Net Dividend Currency Total for year
H2 Dividend 10/12/14 06/02/15 11.2500 GBX 18.0000
H1 Dividend 14/05/14 19/06/14 6.7500 GBX
H2 Dividend 04/12/13 24/01/14 10.0000 GBX 16.0000
H1 Dividend 08/05/13 13/06/13 6.0000 GBX
H2 Dividend 05/12/12 24/01/13 7.1000 GBX 11.5000