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The Group has been newly established to take advantage of what the Directors expect to be favourable underwriting conditions arising from anticipated market dislocation in specific classes of insurance business where substantial losses have resulted fr

Website:
http://www.lancashiregroup.com/
Phone:
+441 278 8950
Address:
Power House, 7 Par-la-Ville Road, Hamilton HM 11, Bermuda.
Super Sector:
Insurance
Sector:
Nonlife Insurance
Industry:
Property & Casualty Insurance
EPIC / Symbols:
LON:LRE
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*subject to change and depends on individual circumstances.

Lancashire Holdings Limited RNS Press Releases

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Broker press

  • Page 1 of 20
  • 17/02/15

    17.02.15 :-4.5, (639) Westhouse downgrades its rating to "neutral" from "add". The broker has a 618p price target.

  • 17/02/15

    17.02.15 :-4.5, (639) Credit Suisse downgrades its rating to "neutral" from "outperform" but maintained its 640p price target.

  • 13/01/15
    +12.75 +574.25

    Credit Suisse reiterates its "outperform" rating but cut its price target to 640p from 680p.

  • 08/01/15
    +12.75 +563.75

    Westhouse reiterates its "add" rating and raised its price target to 618p from 600p.

  • 10/12/14
    +11.50 +527.50

    JP Morgan reiterates its "neutral" rating but cut its price target to 600p from 690p.

Director dealings

  • Page 1 of 24
Date Director Trans Amount Type Price(p) Value (£) Holding %
12/02/15 A. Mahoney EX 244,208 OPT 0.00 0 321,841 0.17
12/02/15 E. Whelan EX 168,149 OPT 0.00 0 233,820 0.12
06/05/14 R.A. Spass EX 85,536 OPT 298.00 254,897 85,536 0.05
17/12/13 N.W. McConachie EX 237,357 OPT 0.00 0 0,000 N/A
17/12/13 N.W. McConachie SELL 237,357 ORD 761.00 1,806,287 0,000 N/A

BASIC RESULTS INFORMATION

  • Page 1 of 5
Date Type Turnover Profit EPS (p) Dividend (p) Currency
31/12/14 Full year 764.80 226.60 124.00 15.00 USD
30/06/14 Interim 378.30 98.90 57.00 5.00 USD
31/12/13 Full year 642.60 218.10 131.00 15.00 USD
30/06/13 Interim 299.40 137.20 84.00 5.00 USD
31/12/12 Full year 639.60 236.80 147.00 15.00 USD

DIVIDEND HISTORY

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Currency Ex-Date Pay Date Net Dividend Currency Total for year
Special Dividend 19/03/15 15/04/15 50.0000 USD
H2 Dividend 19/03/15 15/04/15 10.0000 USD 15.0000
H1 Dividend 27/08/14 24/09/14 5.0000 USD
Special Dividend 19/03/14 16/04/14 20.0000 USD
H2 Dividend 19/03/14 16/04/14 10.0000 USD 15.0000