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Aberdeen Asset Management (ADN)     

candolim - 22 Jul 2006 13:53

aberdeen asset managemnt this company has fallen from 1.90 per share in may down to 1.34 now. despite having really good broker recommendations, as being a strong buy. Lets hear views and whether or not if you thing they have a good chance of recovery. I have quite a few shares and am wondering whether to stick with or move the money into something else.

Chris Carson - 03 Apr 2012 15:10 - 14 of 470

Above 270.0 stop to 265.0

HARRYCAT - 16 Apr 2012 13:11 - 15 of 470

J P Morgan note:
"Aberdeen remains top pick.
With Q1 completed we have marked to market for market levels and fund performance at the end of the period. Compared with our last Update note (24/2/12) estimates are generally little changed for most of the stocks, and indeed the average PER multiple is also little changed. Since the start of the year we have materially increased estimates for Aberdeen, which remains our top pick in the sector, but have once again reduced our Man Group estimates.
The sector has modestly re-rated in the year to date, but at ~10x for 2013E is not expensively rated compared with history. Arguably the clouded picture for market returns and funds flow will constrain any further multiple expansion, requiring outperformance relative to the sector to come from self-help."

Chris Carson - 16 Apr 2012 13:20 - 16 of 470

I like this stock Harry, stopped out last week on the spreads. Buy order (spreads) left @ 272.60 see what happens, difficult to pick a target all time highs, so if triggered will try and get stop to entry as soon as.

Chris Carson - 19 Apr 2012 11:05 - 17 of 470

Probably being greedy, indicators are good not overbought on RSI, stop to 265.0 again it's a teaser :O)

Chris Carson - 30 Apr 2012 13:13 - 18 of 470

Stop to 278.0 to lock in + 5

Chris Carson - 30 Apr 2012 13:13 - 19 of 470

Stop to 278.0 to lock in + 5

Chris Carson - 30 Apr 2012 13:14 - 20 of 470

There's a parrot in here :O)

Chris Carson - 01 May 2012 08:28 - 21 of 470

Stop to 283.0 to lock in + 10

Chris Carson - 04 May 2012 16:20 - 22 of 470

Back in long on the spreads @ 274.1 tight stop.

Chris Carson - 06 Sep 2012 19:39 - 23 of 470

IChart.aspx?Provider=EODIntra&Code=ADN&Sit has been emotional (as Vinny would say) can finally be confident to put stop to entry.

Chris Carson - 06 Sep 2012 19:43 - 24 of 470

Cocked up the text above :O)

It has been emotional (as Vinny would say) can finally be confident to put stop to entry. 300.0 target.

Chris Carson - 07 Sep 2012 14:14 - 25 of 470

Stop to 284.1 to lock in + 10

skinny - 07 Sep 2012 16:13 - 26 of 470

Chris, if you want to correct post 23 above, you have the "I" of "It has been...." before the chart image - just move it to after.

Chris Carson - 07 Sep 2012 19:28 - 27 of 470

Cheers skinny,I'll have a go tom, bit inebriated won a golf final this aft. Hic!

Chris Carson - 13 Sep 2012 09:48 - 28 of 470

Stop to 294.1 to lock in + 20. Unless volume increases dramatically can't see 300.0 being breached, overbought on RSI which isn't fatal but a warning.

goldfinger - 13 Sep 2012 15:51 - 29 of 470

Gone long on this one just now. nice chart and solid fundies....

Chart.aspx?Provider=EODIntra&Code=ADN&Si

Forward P/E of just over 12 to 2013 seems a bit stingy.

Aberdeen Asset Management PLC

FORECASTS 2012 2013
Date Rec Pre-tax (£) EPS (p) DPS (p) Pre-tax (£) EPS (p) DPS (p)

Peel Hunt
11-09-12 BUY 334.48 20.92 10.00 383.09 23.86 11.50
Singer Capital Markets Ltd
10-09-12 BUY 334.60 21.40 10.20 384.80 24.40 11.50
Shore Capital
07-09-12 BUY 336.80 20.30 10.50 362.90 22.00 12.00
Westhouse Securities
06-09-12 BUY
Charles Stanley
03-09-12 HOLD
Numis Securities Ltd
24-08-12 BUY 335.80 21.50 11.00 387.30 24.70 14.00
SG Securities
22-08-12 BUY 21.20 10.10 24.65 11.30
Canaccord Genuity Ltd
23-07-12 BUY 332.50 20.70 10.40 367.70 22.90 11.30
Keefe Bruyette & Woods Ltd [R]
20-06-11 OUTP 19.20 7.70

2012 2013
Pre-tax (£) EPS (p) DPS (p) Pre-tax (£) EPS (p) DPS (p)

Consensus 334.90 21.02 10.36 377.65 23.79 11.94
1 Month Change 0.01 0.05 -0.04 0.51 0.24 -0.10
3 Month Change 1.23 -0.05 0.01 1.89 0.30 -0.05


GROWTH
2011 (A) 2012 (E) 2013 (E)

Norm. EPS 29.25% 41.36% 13.19%
DPS 18.75% 36.34% 15.25%

INVESTMENT RATIOS
2011 (A) 2012 (E) 2013 (E)

EBITDA £302.50m £342.75m £392.38m
EBIT £229.00m £336.08m £385.82m
Dividend Yield 2.58% 3.52% 4.06%
Dividend Cover 1.96x 2.03x 1.99x
PER 19.79x 14.00x 12.37x
PEG 0.68f 0.34f 0.94f
Net Asset Value PS -3.51p 106.82p 113.26p

Chris Carson - 13 Sep 2012 16:18 - 30 of 470

Not speaking GF, have I upset you mate? Was only joking re - Man Utd :O)
I haven't been stopped out yet. Hope you are right, still think it needs more volume to get through 300p fingers crossed eh!

goldfinger - 13 Sep 2012 16:26 - 31 of 470

ehhhhhhhh.... no not at all chris. Been so busy with business interests hardly time to keep up with the trading. Man U ? ...... have heard Rooney might be on his way come Jan. Makes U think twice about these overpaid lot when you see the olympians.

Fingers crosses berwanke gives us a few good days ahead here.

Chris Carson - 13 Sep 2012 17:11 - 32 of 470

Ok, no worries GF :O)

goldfinger - 13 Sep 2012 20:36 - 33 of 470

Looks like he has Chris. Have u seen the Dow and gold SP......nice.
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