UK dividends calendar - next 7 days
6th Jan 2026 16:24
| Price | 444.50p on 13-02-2026 at 13:45:10 |
|---|---|
| Change | -2.00p -0.45% |
| Buy | 445.00p |
| Sell | 444.00p |
| Last Trade: | Buy 55.00 at 445.00p |
| Day's Volume: | 286,030 |
| Last Close: | 446.50p |
| Open: | 447.00p |
| ISIN: | GB00BWXC7Y93 |
| Day's Range | 443.00p - 447.00p |
| 52wk Range: | 284.00p - 453.00p |
| Market Capitalisation: | £1.44b |
| VWAP: | 445.81131p |
| Shares in Issue: | 323.65m |
Sector: Closed End Investments
Listed In: FTSE All-Share, FTSE Lower Yield, FTSE 250, FTSE 350
Fidelity (FSV) Latest Trades |
||||
| Buy/Sell | Volume | Trade Prc | Trade Type | Trade Time |
|---|---|---|---|---|
| Buy* | 55 | 445.00p | SI Trade |
13:44:56 - 13-Feb-26 |
| Buy* | 432 | 444.50p | Automatic Execution |
13:43:01 - 13-Feb-26 |
| Buy* | 401 | 444.50p | Automatic Execution |
13:43:01 - 13-Feb-26 |
| Buy* | 1,039 | 444.50p | Automatic Execution |
13:43:01 - 13-Feb-26 |
| Sell* | 133 | 444.187p | Ordinary |
13:38:21 - 13-Feb-26 |
| Sell* | 144 | 444.00p | Automatic Execution |
13:37:03 - 13-Feb-26 |
| Sell* | 144 | 444.00p | Automatic Execution |
13:37:03 - 13-Feb-26 |
| Sell* | 96 | 444.00p | Automatic Execution |
13:37:03 - 13-Feb-26 |
| Sell* | 48 | 444.00p | Automatic Execution |
13:37:03 - 13-Feb-26 |
| Sell* | 16 | 444.00p | Automatic Execution |
13:37:03 - 13-Feb-26 |
Fidelity (FSV) Regulatory News |
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| Date | Source | Headline |
|---|---|---|
| 12th Feb 2026 7:43 am | RNS | Net Asset Value(s) |
| 11th Feb 2026 7:54 am | RNS | Net Asset Value(s) |
| 10th Feb 2026 7:50 am | RNS | Net Asset Value(s) |
| 9th Feb 2026 4:35 pm | PRN | Issue of Ordinary Shares from Treasury |
| 9th Feb 2026 7:35 am | RNS | Net Asset Value(s) |
| 6th Feb 2026 4:25 pm | PRN | Issue of Ordinary Shares from Treasury |
| 6th Feb 2026 7:50 am | RNS | Net Asset Value(s) |
| 5th Feb 2026 5:21 pm | PRN | Issue of Ordinary Shares from Treasury |
| 5th Feb 2026 7:58 am | RNS | Net Asset Value(s) |
| 4th Feb 2026 7:47 am | RNS | Net Asset Value(s) |