25th Aug 2022 7:00 am |
RNS |
Return of Capital to Realisation Shareholders |
12th Aug 2022 7:00 am |
RNS |
Dividend Declaration |
12th Aug 2022 7:00 am |
RNS |
Net Asset Value(s) |
28th Jul 2022 11:14 am |
RNS |
Reinvestment of Management Fees |
27th Jul 2022 5:12 pm |
RNS |
Holding(s) in Company |
25th Jul 2022 11:10 am |
RNS |
Holding(s) in Company |
20th Jul 2022 10:00 am |
RNS |
Net Asset Value(s) |
13th Jul 2022 4:02 pm |
RNS |
Dividend Currency Election |
16th Jun 2022 7:00 am |
RNS |
Net Asset Value(s) |
14th Jun 2022 3:30 pm |
RNS |
Result of AGM |
13th Jun 2022 10:38 am |
RNS |
Dividend Declaration |
18th May 2022 7:00 am |
RNS |
Net Asset Value(s) |
6th May 2022 5:11 pm |
RNS |
Publication of Annual Report & Notice of AGM |
4th May 2022 12:27 pm |
RNS |
Reinvestment of Management Fees |
29th Apr 2022 12:05 pm |
RNS |
Holding(s) in Company |
14th Apr 2022 7:00 am |
RNS |
Annual Financial Report |
14th Apr 2022 7:00 am |
RNS |
Net Asset Value(s) |
17th Mar 2022 7:00 am |
RNS |
Net Asset Value(s) |
24th Feb 2022 3:37 pm |
RNS |
Dividend Currency Election |
17th Feb 2022 7:00 am |
RNS |
Net Asset Value(s) |
7th Feb 2022 5:17 pm |
RNS |
Dividend Declaration |
31st Jan 2022 5:15 pm |
RNS |
Reinvestment of Management Fees |
20th Jan 2022 7:00 am |
RNS |
Net Asset Value(s) |
14th Dec 2021 7:00 am |
RNS |
Net Asset Value(s) |
9th Dec 2021 7:00 am |
RNS |
Portfolio Update |
7th Dec 2021 5:00 pm |
RNS |
Acquisition of Praxis Fund Services by Sanne Group |
15th Nov 2021 7:00 am |
RNS |
Net Asset Value(s) |
12th Nov 2021 10:36 am |
RNS |
Dividend Currency Election |
26th Oct 2021 1:05 pm |
RNS |
Dividend Declaration |
22nd Oct 2021 9:48 am |
RNS |
Portfolio Update |
19th Oct 2021 3:12 pm |
RNS |
Reinvestment of Management Fees |
14th Oct 2021 7:00 am |
RNS |
Portfolio Update |
14th Oct 2021 7:00 am |
RNS |
Net Asset Value(s) |
16th Sep 2021 8:01 am |
RNS |
Net Asset Value(s) |
9th Sep 2021 7:00 am |
RNS |
Half-year Report |
16th Aug 2021 7:00 am |
RNS |
Net Asset Value(s) |
10th Aug 2021 2:23 pm |
RNS |
Dividend Declaration |
4th Aug 2021 9:13 am |
RNS |
Reinvestment of Management Fees |
21st Jul 2021 7:00 am |
RNS |
Net Asset Value(s) |
5th Jul 2021 7:00 am |
RNS |
Portfolio Update |