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Upgrades/Downgrades - 4 June 2014

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Stock Broker Broker Rating Action Target Price (p) Action Distance to TP
Balfour Beatty Westhouse Securities Neutral 220 -6.18%
Barclays HSBC Neutral 270 10.61%
Barclays Espirito Santo Buy 325 33.14%
Bellway Goldman Sachs Buy/Neutral 2160 56.30%
BHP Billiton Citigroup Conviction Buy
Cairn Energy AlphaValue Add 237 14.55%
easyJet Cantor Fitzgerald Hold 1500 -5.06%
Electrocomponents Credit Suisse Underperform 260 -9.19%
Fenner Goldman Sachs Neutral/Neutral 415 22.27%
Fenner UBS Buy 420 23.75%
IMI Investec Hold
Mondi Jefferies Buy 1325 23.26%
Ophir Energy Goldman Sachs Buy/Attractive 337 29.87%
Oxford Instruments Goldman Sachs Buy/Neutral 1810 34.37%
Premier Oil Deutsche Bank Buy 515 47.14%
Premier Oil Canaccord Genuity Buy 400 14.29%
Reed Elsevier Nomura Buy 1050 11.64%
Renishaw Goldman Sachs Neutral/Neutral 1750 3.12%
Rio Tinto CIBC World Markets Underperform New 2900 New -7.02%
SABMiller Morgan Stanley Equalweight 3375 2.49%
SABMiller AlphaValue Sell 2437 -25.99%
Travis Perkins AlphaValue Add 1880 11.44%
Wolseley Oddo & Cie Buy 3815 13.44%

Source: Bloomberg, Reuters News, AlphaTerminal, Dow Jones Newswires

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T111his research is produced by Accendo Markets Limited. Research produced and disseminated by Accendo Markets is classified as non-independent research, and is therefore a marketing communication. This investment research has not been prepared in accordance with legal requirements designed to promote its independence and it is not subject to the prohibition on dealing ahead of the dissemination of investment research. This research does not constitute a personal recommendation or offer to enter into a transaction or an investment, and is produced and distributed for information purposes only.

Accendo Markets considers opinions and information contained within the research to be valid when published, and gives no warranty as to the investments referred to in this material. The income from the investments referred to may go down as well as up, and investors may realise losses on investments. The past performance of a particular investment is not necessarily a guide to its future performance. Prepared by Michael van Dulken, Head of Research

Spread bets and CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage.
Spread bets and CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 67% of retail investor accounts lose money when spread betting and/or trading CFDs with this provider. You should consider whether you understand how spread bets and CFDs work and whether you can afford to take the high risk of losing your money.
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