From November's 'Company Refs', when price was 200p:-
a/ Prospective PE ratio of 12.5 (based on six broker forecasts, one recommending 'buy', two recommending 'add' two recommending 'hold',and one recommending 'neutral').
b/ Net asset value of 199p.
c/ Five directors recently buying.
d/ Price to sales ratio of 0.62.
e/ Turnover up from £17.5m to £229m in last five years.
f/ Cash flow of 4.12p per share.
g/ Gearing of 35.5%.
Overall fundamentals look good.