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North American (NAIT)

Price 302.00p on 26-07-2024 at 16:36:39
Change 3.00p 1%
Buy 303.00p
Sell 302.00p
Buy / Sell NAIT Shares
Last Trade: Unknown 27,500.00 at 302.91p
Day's Volume: 211,515
Last Close: 302.00p
Open: 300.00p
ISIN: GB00BJ00Z303
Day's Range 300.00p - 303.00p
52wk Range: 256.00p - 306.00p
Market Capitalisation: £397m
VWAP: 301.34074p
Shares in Issue: 131m

Recent Trades History North American (NAIT)

Buy/Sell Volume Trade Prc Trade Type Trade Time
Unknown* 27,500 302.91p Negotiated Trade
15:36:39 - 26-Jul-24
Unknown* 50,000 303.00p Negotiated Trade
13:39:26 - 26-Jul-24
Unknown* 1,599 302.00p Uncrossing Trade
15:35:10 - 26-Jul-24
Sell* 198 302.00p Automatic Execution
15:28:13 - 26-Jul-24
Sell* 202 302.00p Automatic Execution
15:28:13 - 26-Jul-24
Unknown* 5,615 302.00p Automatic Execution
15:28:13 - 26-Jul-24
Sell* 1,000 302.00p Automatic Execution
15:28:13 - 26-Jul-24
Sell* 400 302.00p Automatic Execution
15:28:13 - 26-Jul-24
Sell* 1,300 302.15p Ordinary
15:24:22 - 26-Jul-24
Buy* 1,652 302.5571p Ordinary
15:16:58 - 26-Jul-24

Share Price History for North American

Time period:
to
Date Open High Low Close Volume

Share News for North American

DIRECTOR DEALINGS: North American Income Trust director buys more

22nd Jul 2024 14:00

(Alliance News) - The following is a round-up of share dealings by London-listed company directors and managers announced in the past week and not separately reported by Alliance News: Read More

DIRECTOR DEALINGS: Tesco executives sell GBP1.5 million in shares

19th Jul 2024 13:15

(Alliance News) - The following is a round-up of share dealings by London-listed company directors and managers announced this week and not separately reported by Alliance News: Read More

UK dividends calendar - next 7 days

18th Jul 2024 16:18

Read More

UK dividends calendar - next 7 days

27th Jun 2024 14:46

Read More

IN BRIEF: North American Income announces conditional tender offer

14th Jun 2024 20:27

The North American Income Trust PLC - Edinburgh, Scotland-based investment company - Announces a conditional tender offer of up to 15% of shares outstanding to prevent trading at a price discount to net asset value. Sets calculation date of September 30 2027. Will issue offer if either the NAV total return has not exceeded the total return of the S&P High Yield Dividend Aristocrats Index by the calculation date, or if the average stock price cum-income NAV discount in six months prior to calculation date is greater than 7%. Any potential tender offer to reflect 2% discount to cum-income NAV, minus costs. Read More

FTSE 100 Latest
Value8,285.71
Change99.36

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