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SVS Savills Plc

1,074.00
-16.00 (-1.47%)
13 Dec 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Savills Plc LSE:SVS London Ordinary Share GB00B135BJ46 ORD 2.5P
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  -16.00 -1.47% 1,074.00 1,072.00 1,076.00 1,088.00 1,066.00 1,066.00 58,665 16:35:13
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
Business Consulting Svcs,nec 2.24B 40.8M 0.2822 37.99 1.58B
Savills Plc is listed in the Business Consulting Svcs sector of the London Stock Exchange with ticker SVS. The last closing price for Savills was 1,090p. Over the last year, Savills shares have traded in a share price range of 850.00p to 1,298.00p.

Savills currently has 144,554,958 shares in issue. The market capitalisation of Savills is £1.58 billion. Savills has a price to earnings ratio (PE ratio) of 37.99.

Savills Share Discussion Threads

Showing 1176 to 1198 of 1375 messages
Chat Pages: 55  54  53  52  51  50  49  48  47  46  45  44  Older
DateSubjectAuthorDiscuss
01/8/2013
10:27
Next stop £7 with a bit of luck and rising markets.
robbo35
31/7/2013
16:10
That's a new recent closing high today, maybe a run up to the results coming.
bigbigdave
31/7/2013
10:34
Yes it will prabirand cos I've just bought some :-)
smartmoney100
31/7/2013
10:21
Will it stay up this time?
prabirnand1
31/7/2013
09:47
Great results from RMV today, LSL results solid yesterday with them saying they've seen a strong pick up since easter.

CR

cockneyrebel
30/7/2013
12:21
London should be flying.

Concerns China and Honk Kong- hopefully marginal.

broadwood
30/7/2013
11:50
Finally going to pop?
bigbigdave
26/7/2013
12:56
Bring on those results :-)

CR

cockneyrebel
24/7/2013
12:41
Well LSL breaking out nice fozzie, their results the day before SVS on July30.

This from LSL's last update - must b decent read across to SVS who also said recent trading was strong:

LSL in May:

""Activity levels were constrained in line with the market during the first quarter but have since picked up considerably with underlying(1) Group revenue in the post Easter period up 7% year on year. The Group is well positioned to benefit from its significant operational gearing if market volumes continue to improve."

Edit: SVS results Aug 8, not July 31 sorry.

CR

cockneyrebel
23/7/2013
07:59
Gawd lets hope so. Bounced up to 632 for a mo yesterday, what can we do today? There must be a seller about though as these are consistently knocked back although we are creating a few slightly higher lows as we go through the month. Fingers crossed as i went balls deep on these.
fozzie
23/7/2013
07:40
Starting to get going here.

CR

cockneyrebel
22/7/2013
08:11
Has the laggy band snapped?
fozzie
19/7/2013
14:30
I think so Fozzie.

CR

cockneyrebel
19/7/2013
13:29
Was that a maiden purchase by jpm, just over 6,7m shares? That 600 still will not give 597 bid atm, very frustrating as i have a big share holding here and a big spread bet position as well.
fozzie
18/7/2013
20:34
both sides of a trade prabirnand1,

400k buy in two bits registered and 400k sell - you often see both sides of a trade at the same price - say between two consenting parties without an mm involved.

New recent closing high:



CR

cockneyrebel
18/7/2013
15:53
Something odd going on here. 400K @ 650 buy followed by sells of 358363 @605 and 41673 @ 650.9075. The latter two add up to 400036. Whatever it is, clearly good for the share price
prabirnand1
18/7/2013
13:25
400k buy

CR

cockneyrebel
18/7/2013
09:26
Looking firm after that holding notice - overhang dried up?

CR

cockneyrebel
16/7/2013
08:02
Boing on that 600p elastic again :0(
fozzie
15/7/2013
14:51
Testing the highs again - trading update a fortnight away:

From the results:

" Commenting on the results, Jeremy Helsby, Group Chief Executive, said:
"I am delighted to report a strong set of results from the Group in 2012 with record revenues up 12% and profits up 21%. Our positions in both prime commercial and residential markets have enabled us to benefit from improving transaction volumes through 2012, particularly in the final quarter in Asia and the UK. We have reduced the losses in Continental Europe and our Investment Management business grew assets under management substantially. The changes we have made to our business over the last few years, including acquisitions, recruitment and restructuring, have improved the Group's underlying profit margin.
We have made a strong start to 2013, particularly in the UK and Asia, and we expect to make further progress across the Group in the year ahead. We anticipate delivering continued improvements in our businesses in Continental Europe and the US although we are mindful of the risk of further weakness in some of these markets. Our Investment Management business has a good pipeline of funds to invest through its European platform. In Asia, whilst we anticipate that the most recent in a succession of control measures imposed in Mainland China and Hong Kong will have an impact on transaction volumes towards the second half of the year, the medium and long term characteristics of these markets remain compelling.

cockneyrebel
12/7/2013
14:10
RMV, LSL, CD all flying today - how long till these breakout in style?

CR

cockneyrebel
12/7/2013
12:27
It could be worse. I've had mine for years and still showing a loss.
bouleversee
12/7/2013
11:58
This is doing my nut in, this just seemingly will not break out of this trading range, i am in good profit but tbh could shift the money somewhere else for quicker returns, my money is just marking time at 600 here.
fozzie
Chat Pages: 55  54  53  52  51  50  49  48  47  46  45  44  Older

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