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Intermediate Capital Group PLC (LON:ICP) has been reiterated to Sell in a report by Shore Capital today.

Just yesterday Intermediate Capital Group PLC (LON:ICP) traded -2.88% lower at 1,013.00GBX. Intermediate Capital Group PLC’s 50-day average is 923.15GBX and its two hundred day average is 870.56GBX. With the last close up 12.23% from the 200-day moving average, compared to the S&P 500 which has increased 0.02% over the date range. Trading volume was down over the average, with 538,507 shares of ICP changing hands under the typical 588,902

Shore Capital has reiterated Intermediate Capital Group PLC (LON:ICP) to Sell in a statement released on 11/14/2017.

On 9/28/2017, Jefferies International reported about Intermediate Capital Group PLC (LON:ICP) held steady the target price at 1,023.00GBX. At the time, this indicated a possible upside of 0.12%.

Recent Performance Chart

Intermediate Capital Group PLC (LON:ICP)

With a total market value of 0 GBX, Intermediate Capital Group PLC has P/E ratio of 13.11 with a 52 week low of 584.86GBX and a 52 week high of 1,011.00GBX .

Also covering Intermediate Capital Group PLC's price target, a total of 8 analysts have released a report on ICP. The one year target is 687.50GBX with three equity analysts rating the company a strong buy, three equity analysts rating the company a buy, 3 firms rating the stock a hold, 0 firms rating the stock a underperform, and finally 0 firms rating the stock a sell.

Brief Synopsis On Intermediate Capital Group PLC (LON:ICP)

Intermediate Capital Group plc is a specialist asset manager. The Company is the fund management company (FMC) and the investment company (IC). Its funds invest across four asset categories, providing finance for corporate investments, including private debt and minority equity; capital market investments of public and private debt; real assets, principally real estate debt, and private equity secondaries funds. It manages various investments, such as corporate investments, including Senior debt, mezzanine and equity investments in Europe, Asia Pacific and North America; capital market investments, such as collateralized loan obligation (CLO), loan mandate and other credit funds in Europe and North America; real asset investment, including real estate investment in senior debt, subordinated debt and equity in the United Kingdom commercial real estate investment, and secondaries, such as investment in secondaries private equity (PE) transactions in the European and North America.

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