Dr. Martens

(DOCS)
Sector: Personal Goods
64.10p
0.75p 1.18
Last updated: 17:00:05

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Today's buy and sell prices

The price at which you can buy a share or investment. It is usually higher than the bid (sell) price. It’s the price you are being offered. Offer 64.50p
The price at which you can sell a share or investment. It is lower than the offer (buy) price. Bid 62.50p
The difference between the bid and offer prices expressed as a percentage. When you buy shares you pay a higher price than you get when you sell them. The difference between these prices is the profit made by the market maker who puts the deals together. Spread 3.10

Today's trading

Range The lowest and the highest price a share has reached in the trading day. 63.20p-64.85p
The lowest and the highest price a share has reached in the trading day. Volume 953,731.00
The lowest and the highest price a share has reached in the trading day. Today's open 63.35p
At the end of the trading day there is an official closing price for every share. The previous session’s close is used as the base to calculate the following day’s price changes. Previous close 64.10p

Yearly summary

The highest and lowest prices the shares have traded at over a rolling 52-week period. It gives you a good indication of how the share price is performing now relative to its recent past performance. 52wk range 63.20p-146.90p

Fundamentals and health

A measure of the company's worth on the stock market. We display the previous closing share price multiplied by the number of shares in issue. Market capitalisation £616.74
The number of shares a company has in circulation, in millions. Shares in issue 961.97
The main valuation used by investors and a way of gauging whether a company's share price is cheap or expensive compared to competitors. You get PE by dividing the share price by the earnings per share (EPS). Our figure is last basic unadjusted - reported - annual EPS / current share price x 100. Companies also quote adjusted EPS figures to remove the effect of one-off exceptional figures from the profit figures. There is debate among investors as to whether this should be used. We use basic EPS – the purest figure. PE ratio 11
PEG ratio n/a
An important ratio for showing how much profit after tax and other deductions (net profit) is actually being earned per share. You divide the net profit by the number of shares in issue. Expressed in pence per share. Looking at whether the EPS is rising or falling over time is one of the most important indicators of whether a company is really making money for its shareholders. Our figure is undiluted, meaning it is not adjusted for exceptional costs. EPS 12.90p
Earnings per share growth illustrates the growth of earning per share over the last two reporting periods. It helps investors identify stocks that are increasing or decreasing in profitability. A minus sign indicates negative growth. EPS growth -26
Return on capital employed measures a company's profitability in relation to how much capital is invested in the business. Generally, the higher the figure the better but with all these ratios it is best to compare companies from the same sector. A high double digit figure may mean a company has an advantage over its competitors because of a unique product but an oil company, for example, will have higher capital outlay than an online retailer. Our formula: [Pre-tax profit / (total assets – short-term liabilities)] * 100 ROCE 29.83
Also known as the acid test ratio, it's a quick guide to how well a company can pay its short-term debts. Above 1 is considered healthy. A ratio of 1.5 would mean the company has £1.50 of liquid (accessible) assets to cover each £1 of debt (current liabilities). Formula: Current assets minus inventory / current liabilities. Quick ratio 1.53
Indicates whether a company can convert assets into cash to pay its debts within the next 12 months. It is calculated as current assets / current liabilities for the same period but will display as '0' for companies such as banks that don't distinguish between short and long-term liabilities. Current ratio 3.09
The amount of money a company paid to a shareholder for each share they own over the past 12 months, expressed in pence. Total dividends per share 1.56p
The dividends paid per share over the past 12 months (interim plus final) as a percentage of the share price. Our figure includes recurring special dividends. Dividend yield 4.1
The number of times the dividend could have been paid out from net profits. It is a good indicator of the company's ability to pay the dividend and its level of generosity. Formula: earnings per share / dividends per share. More than 2 is considered healthy, less than 1.5 may hint that a dividend is at risk of being cut. Dividend cover 2.21
Dividend per share growth 6.18

Dr. Martens Fundamentals

Dr. Martens operates in the global footwear market. Statista estimates that global retail sales of footwear in 2019 were £341 billion representing 12 billion pairs of footwear. Dr. Martens has a diversified global presence, with sales in more than 60 countries. The Group's current geographical footprint, in terms of total Group revenue, is more weighted towards the US and EMEA, with APAC representing 20% of Dr. Martens' FY20 revenue as compared to 29% for retail sales of the entire footwear market.

Dr. Martens Regulatory news

Date Time Headline Source
12/09/2024 15:13 Director/PDMR Shareholding RNS
30/08/2024 15:19 Total Voting Rights RNS
27/08/2024 11:58 Director/PDMR Shareholding RNS
20/08/2024 15:48 Director/PDMR Shareholding RNS
12/08/2024 11:30 Holding(s) in Company RNS
31/07/2024 15:43 Total Voting Rights RNS
12/07/2024 12:42 Director/PDMR Shareholding RNS
11/07/2024 11:05 Result of AGM RNS
11/07/2024 07:00 AGM Trading Update RNS
01/07/2024 12:44 Total Voting Rights RNS

Dr. Martens Latest trades

Latest trades

Date Time Price Amount Value Type Buy / sell
19/09/2024 16:35:00 64p 365,913 £234,184.32 PC Sell
19/09/2024 16:35:00 64p 1,144 £732.16 Unknown
19/09/2024 16:35:00 64p 331 £211.84 Unknown
19/09/2024 16:35:00 64p 923 £590.72 Unknown
19/09/2024 16:35:00 64p 486 £311.04 Unknown

Analysis

Buy Sell Unknown
Quantity 190 170 152
Volume 291,240 590,950 439,361
Value £187,034 £379,165 £281,579

Dr. Martens Director dealings

Trade date Director Volume / Price Trade value Trade type
11/09/2024 Giles Wilson 225 @ 0.00 0.00 Transfer From
11/09/2024 Giles Wilson 225 @ 66.60p £149.85 Buy
11/09/2024 Kenny Wilson 226 @ 0.00 0.00 Transfer From
11/09/2024 Kenny Wilson 226 @ 66.60p £150.52 Buy
27/08/2024 Lynne Weedall 25,000 @ 74.41p £18,602.50 Buy
12/08/2024 Giles Wilson 213 @ 0.00 0.00 Transfer From
12/08/2024 Giles Wilson 213 @ 70.35p £149.85 Buy
12/08/2024 Kenny Wilson 213 @ 0.00 0.00 Transfer From
12/08/2024 Kenny Wilson 213 @ 70.35p £149.85 Buy
11/07/2024 Kenny Wilson 200 @ 0.00 0.00 Transfer From

Dr. Martens Broker views

Date Broker Recomm. Old target price New target price Notes
05/06/2023 Barclays overweight - 175.00p reiteration
30/05/2023 RBC Capital Markets sector perform 230.00p 180.00p downgrade
18/11/2022 JP Morgan Cazenove outperform 350.00p 350.00p reiteration
13/04/2022 Barclays overweight 480.00p 360.00p reiteration
11/04/2022 RBC Capital Markets outperform - 375.00p reiteration
24/03/2022 RBC Capital Markets outperform - 375.00p reiteration
01/12/2021 Barclays overweight 480.00p 480.00p upgrade
22/11/2021 RBC Capital Markets outperform - 525.00p reiteration
13/07/2021 Goldman Sachs buy - 535.00p upgrade
18/06/2021 Barclays overweight 12,500.00p 12,500.00p reiteration
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