Henderson Group Plc (LON:HGG)‘s stock had its “neutral” rating reaffirmed by research analysts at BNP Paribas in a report issued on Tuesday. They presently have a GBX 240 ($2.97) target price on the stock. BNP Paribas’ price objective points to a potential downside of 6.25% from the stock’s previous close.
A number of other research firms also recently commented on HGG. Citigroup Inc. restated a “neutral” rating on shares of Henderson Group Plc in a report on Tuesday, October 4th. Barclays PLC restated an “equal weight” rating and issued a GBX 215 ($2.66) price objective on shares of Henderson Group Plc in a report on Tuesday, October 4th. Jefferies Group upgraded Henderson Group Plc to a “hold” rating and increased their price objective for the stock from GBX 172 ($2.13) to GBX 238 ($2.95) in a report on Tuesday, October 4th. CM-CIC restated a “hold” rating and issued a GBX 238 ($2.95) price objective on shares of Henderson Group Plc in a report on Tuesday, October 4th. Finally, Macquarie reiterated a “neutral” rating and set a GBX 243 ($3.01) price target on shares of Henderson Group Plc in a report on Wednesday, October 5th. One analyst has rated the stock with a sell rating, eleven have issued a hold rating and two have assigned a buy rating to the company. The company has an average rating of “Hold” and a consensus price target of GBX 255.23 ($3.16).
Henderson Group Plc (LON:HGG) opened at 254.60 on Tuesday. Henderson Group Plc has a 52-week low of GBX 192.60 and a 52-week high of GBX 314.30. The firm’s market capitalization is GBX 2.77 billion. The stock’s 50 day moving average is GBX 240.90 and its 200-day moving average is GBX 242.36.
The business also recently disclosed a dividend, which was paid on Friday, September 16th. Shareholders of record on Thursday, August 25th were issued a dividend of GBX 3.20 ($0.04) per share. The ex-dividend date of this dividend was Thursday, August 25th. This represents a dividend yield of 1.44%.
Henderson Group Plc Company Profile
Henderson Group plc is an independent global asset manager, specializing in active investment. The Company is a client-focused global business with assets under management. The Company’s segments include UK, Americas, Australia and Other. It manages a range of actively managed investment products for institutional and retail investors, across over five capabilities, which include European equities, global equities, global fixed income, multi-asset and alternatives, including private equity and property.
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