Date: Thursday 15 Sep 2011
Millennium & Copthorne hasn't had the easiest of rides in recent weeks. A glance at the company's interim management statement in early August doesn't go very far in explaining the slump. The update showed that pre-tax profits in the second quarter were up more than 90%. The company's strengths - and the affordable valuation of around 11 times forward earnings for next year - mean that we would not sell. But the market jitters - so obvious in the recent movement of its share price - mean that we would wait before checking in. Hold, says the Independent.
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| Currency | UK Pounds |
| Share Price | 6.75p |
| Change Today | 0.000p |
| % Change | 0.00 % |
| 52 Week High | 12.13 |
| 52 Week Low | 4.38 |
| Volume | 252,766 |
| Shares Issued | 722.54m |
| Market Cap | £48.77m |
| Beta | 0.10 |
| RiskGrade | 455 |
| Value |
|
|---|
| Price Trend |
|
|---|
| Income | ![]() |
|---|
| Growth | ![]() |
|---|
| Strong Buy | 1 |
| Buy | 0 |
| Neutral | 0 |
| Sell | 0 |
| Strong Sell | 0 |
| Total | 1 |

| No dividends found |
| Time | Volume / Share Price |
| 16:19 | 7,150 @ 6.77p |
| 16:03 | 1,004 @ 6.77p |
| 15:54 | 20,000 @ 6.51p |
| 15:27 | 5,313 @ 6.77p |
| 15:27 | 10,000 @ 6.51p |
| Finance Director | Hemant Thanawala |
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