Share name :
Share symbol :
Normal Market Size (NMS/EMS) :
Currency £ or € :
Buy price p or € (not cents) :
Target price :
Capitalisation in £m or €m :
Next ex-dividend date (if in 90 days) :
Next dividend amount (if in 90 days) p or €:
Company website :
Business
Brief summary
Valuation ratios
eg PE, PTBV, PSR, yield... as appropriate for the sector
Reason why a 20% gain should be possible in the next 90 days
eg very strong or unexpected results due, planning application decision, broker upgrade, sector laggard due to large seller...
Why the downside risk is low