Become a Member
  • Track your favourite stocks
  • Create & monitor portfolios
  • Daily portfolio value
Sign Up
Quickpicks
Add shares to your
quickpicks to
display them here!

Marwyn Val. (MVI) Regulatory News

Date Source Headline
21st May 2021 2:01 pm RNS Notification of major interests in shares
20th May 2021 1:57 pm RNS Share Sale
14th May 2021 11:14 am RNS Net Asset Value
14th May 2021 11:13 am RNS Net Asset Value
7th May 2021 1:14 pm RNS Net Asset Value
7th May 2021 1:13 pm RNS Net Asset Value
30th Apr 2021 3:05 pm RNS Net Asset Value
30th Apr 2021 3:02 pm RNS Net Asset Value
29th Apr 2021 7:00 am RNS Update to financial statements publication date
28th Apr 2021 7:00 am RNS Interim Dividend to Ordinary Shareholders
23rd Apr 2021 11:31 am RNS Net Asset Value
23rd Apr 2021 11:22 am RNS Net Asset Value
20th Apr 2021 7:05 am RNS Investments in MAC II Limited and MAC III Limited
15th Apr 2021 9:48 am RNS Net Asset Value
15th Apr 2021 9:33 am RNS Net Asset Value
1st Apr 2021 3:28 pm RNS Net Asset Value
1st Apr 2021 3:23 pm RNS Net Asset Value
1st Apr 2021 7:00 am RNS Change of Manager
29th Mar 2021 4:37 pm RNS MasMovil offer to acquire Euskaltel
26th Mar 2021 8:47 am RNS Net Asset Value
26th Mar 2021 8:45 am RNS Net Asset Value
19th Mar 2021 2:43 pm RNS Net Asset Value
19th Mar 2021 2:39 pm RNS Net Asset Value
18th Mar 2021 7:10 am RNS Investment in Marwyn Acquisition Company I Limited
11th Mar 2021 8:59 am RNS Net Asset Value
11th Mar 2021 8:57 am RNS Net Asset Value
4th Mar 2021 4:53 pm RNS Net Asset Value
4th Mar 2021 4:51 pm RNS Net Asset Value
25th Feb 2021 5:25 pm RNS Net Asset Value
25th Feb 2021 5:22 pm RNS Net Asset Value
19th Feb 2021 9:16 am RNS Net Asset Value
19th Feb 2021 9:09 am RNS Net Asset Value
11th Feb 2021 4:08 pm RNS Net Asset Value
11th Feb 2021 4:07 pm RNS Net Asset Value
5th Feb 2021 9:33 am RNS Net Asset Value
5th Feb 2021 8:59 am RNS Net Asset Value
28th Jan 2021 4:04 pm RNS Net Asset Value
28th Jan 2021 7:00 am RNS Interim Dividend to Ordinary Shareholders
27th Jan 2021 3:23 pm RNS Director/PDMR Shareholding
22nd Jan 2021 10:25 am RNS Net Asset Value
FTSE 100 Latest
Value9,142.73
Change14.43