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SEGRO plc is a property investment company, which owns and manages business space. It develops and acquired properties throughout Europe. The Company manage its business through two strategic business units: the United Kingdom and Continental Europe.

Website:
http://www.segro.com/
Phone:
+44 (0)1753 537 171
Address:
Cunard House, 15 Regent Street, London SW1Y 4LR
Super Sector:
Real Estate
Sector:
Real Estate Investment Trusts
Industry:
Industrial & Office REITs
EPIC / Symbols:
LON:SGRO
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*subject to change and depends on individual circumstances.

Segro RNS Press Releases

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Segro Articles and News

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Broker press

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  • 21/05/13

    21.05.13 :-0.3, (302.5) UBS reiterates its "buy" rating and raised its price target to 325p from 275p.

  • 01/05/13

    01.05.13 :-3, (263.4) Jefferies reiterates its "hold" rating but raised its price target to 245p from 238p.

  • 30/04/13
    +1.50 +266.40

    Credit Suisse reiterates its "outperform" rating and raised its price target to 300p from 270p.

  • 23/04/13
    +4.20 +260.10

    Morgan Stanley reiterates its "equal weight" rating but raised its price target to 250p from 240p.

  • 22/04/13
    +2.00 +255.90

    Espirito Santo reiterates its "neutral" rating but raised its price target to 250p from 247p.

Director dealings

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Date Director Trans Amount Type Price(p) Value (£) Holding %
15/05/13 D.J.R. Sleath EX 1,058 OPT 0.00 0 205,007 0.03
15/05/13 A.S. Gulliford EX 1,058 OPT 0.00 0 55,184 0.01
15/05/13 J.R. Read EX 1,058 OPT 0.00 0 22,068 N/A
15/05/13 P.A. Redding EX 1,058 OPT 0.00 0 51,173 0.01
15/05/13 E. Blease EX 1,058 OPT 0.00 0 19,182 N/A

BASIC RESULTS INFORMATION

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Date Type Turnover Profit EPS (p) Dividend (p) Currency
31/12/12 Full year 371.00 -202.20 -26.60 14.80 GBX
30/06/12 Interim 190.10 -81.80 -10.80 4.90 GBX
31/12/11 Full year 400.10 -53.60 -4.10 14.80 GBX
30/06/11 Interim 195.80 64.60 8.60 4.90 GBX
31/12/10 Full year 433.60 197.20 28.50 14.30 GBX

DIVIDEND HISTORY

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Currency Ex-Date Pay Date Net Dividend Currency Total for year
H2 Dividend 20/03/13 26/04/13 9.9000 GBX 14.8000
H1 Dividend 05/09/12 05/10/12 4.9000 GBX
H2 Dividend 21/03/12 04/05/12 9.9000 GBX 14.8000
H1 Dividend 21/09/11 07/10/11 4.9000 GBX
H2 Dividend 13/04/11 05/05/11 9.6000 GBX 14.3000