The London Stock Exchange uses cookies to improve its website. The cookies for analytical purposes have already been set. For more details and how to manage cookies, please see our privacy and cookies policy.


Revamped website coming soon

We're refreshing London Stock Exchange's website to give our users a better experience. The revamped website has a fresh look and feel, intuitive navigation and search as well as a clearer view of our key data and documents. Visitors to our website will be able to search for companies, compare different products and services and discover how the market has evolved over its history.

We look forward to introducing you to the revamped website soon.


Price (GBX) 77.50 Var % (+/-) -0.90% (Down -0.70)
High 77.50 Low 73.90
Volume 9,758,257 Last close 77.50 on 22-May-2020
Bid 77.20 Offer 77.50
Trading status Market Close Special conditions NONE
As at 25-May-2020 22:42:16 -  All data delayed by at least 15 minutes.

Regulatory News - RNS

Last five published trades
Time/date of execution Price Currency Volume Trade value* Trade type Trade flags MIC
17:19:55 22-May-2020 77.50 GBX 1,969 1,525.97 Off-book TNCP XOFF
18:23:52 22-May-2020 76.93 GBX 194,282 149,461.14 Off-book TNCP XOFF
18:24:43 22-May-2020 77.49 GBX 203,327 157,562.16 Off-book TNCP XOFF
18:22:36 22-May-2020 75.44 GBX 42,789 32,278.74 Off-book TNCP XOFF
17:29:51 22-May-2020 75.61 GBX 2,307 1,744.25 Off-book TNCP XOFF
* For instruments denominated in GBX, the Trade value is shown in GBP when the traded currency is GBX or GBP. When the traded price is any other currency then the trade value is displayed in that currency.
Some trades qualify for deferred publication, due to the type or size of the transaction. These will be displayed at the point of publication, but show the time/date of execution as with other trades displayed here.

Content provided by FTSE Russell
Profit For The Period ( £  m )
Continuing and Discontinued EPS - Basic ( p )
Dividend per Share ( p )
Key Fundamentals 31-Mar-15 31-Mar-16 31-Mar-17 31-Mar-18 31-Mar-19
Revenue (£ m)   51.10 61.00 71.10 83.50 102.40
Pre-Tax (£ m)   36.60 28.80 95.20 71.80 84.00
EPS  4.90p 2.20p 5.80p 3.70p 3.50p
PE  12.70 24.14 9.97 16.03 16.40
PEG  -0.49 -0.44 0.06 -0.44 -3.03
EPS Growth  -25.76% -55.22% 164.36% -36.21% -5.41%
Dividend Cover  2.65 1.07 2.58 1.50 1.32
Dividend Yield  2.97% 3.86% 3.89% 4.15% 4.62%

Company Information
Company website
Company address The Brew House, Greenalls Avenue, Warrington, WA4 6HL, United Kingdom
FTSE ICB sector Real Estate Investment Trusts
FTSE ICB subsector Health Care REITs
Company market cap, £m* 2,080.11
Admission date 28 Jan 2015
*The company market capitalization reflects the London listed element of Ordinary and Preference shares only and is approximate. Data provided by FTSE Russell.

Security Information
FTSE index FTSE 250,FTSE MID 250 (ex IT),FTSE 350,FTSE 350 High Yield,FTSE 350 (ex IT),FTSE All-Share,FTSE All-Share (ex IT)
Market Main Market
Market identifier code (MIC) XLON
Trading service SETS
Trading segment STMM
Listing category Premium Equity Commercial Companies
Country of share register GB
Exchange market size 30,000
Security market cap, £m 2,080.11
*The market capitalisation of the security reflects data from previous trading day.

ASSURA share price (AGR)