Alliance Trust PLC
ANNUAL INFORMATION UPDATE
Annual Information update for the 12 months up to 14 May 2009.
Pursuant to the requirements of Prospectus Rule 5.2 the following summarises
the information that has been published or made available to the public by the
Company. Please note that whilst the information referred to was correct at the
time of publication, some of this information may now be out of date.
1. Announcements via a Regulated Information Services (RIS):
(RIS Announcements can be viewed via the internet from
www.londonstockexchange.com)
1.1 Net asset Values
As far as possible the Company has announced daily the net asset value per
share as of the previous business day.
1.2 Director/PDMR Shareholdings
20 May 2008 29 October 2008
23 May 2008 29 October 2008
27 May 2008 4 November 2008
30 May 2008 5 November 2008
3 June 2008 6 November 2008
10 June 2008 7 November 2008
12 June 2008 13 November 2008
13 June 2008 20 November 2008
19 June 2008 26 November 2008
23 June 2008 2 December 2008
24 June 2008 4 December 2008
27 June 2008 11 December 2008
1 July 2008 15 December 2008
3 July 2008 18 December 2008
8 July 2008 29 December 2008
10 July 2008 6 January 2009
17 July 2008 7 January 2009
23 July 2008 13 January 2009
31 July 2008 20 January 2009
5 August 2008 26 January 2009
13 August 2008 3 February 2009
14 August 2008 6 February 2009
20 August 2008 12 February 2009
21 August 2008 13 February 2009
28 August 2008 19 February 2009
2 September 2008 26 February 2009
3 September 2008 4 March 2009
5 September 2008 5 March 2009
11 September 2008 12 March 2009
18 September 2008 19 March 2009
25 September 2008 26 March 2009
3 October 2008 6 April 2009
6 October 2008 7 April 2009
7 October 2008 15 April 2009
9 October 2008 20 April 2009
13 October 2008 24 April 2009
15 October 2008 5 May 2009
21 October 2008 6 May 2009
24 October 2008 13 May 2009
1.3 Other Announcements
14 May 2008 - Annual Information Update
23 May 2008 - Result of AGM
27 May 2008 - Interim Management Statement
24 June 2008 - Holding(s) in Company
25 June 2008 - Dividend Declaration
9 July 2008- Directorate Change
6 August 2008 - Portfolio Update
19 August 2008 - Directorate Change
29 September 2008 - Holding(s) in Company
30 September 2008 - Half-yearly Report
21 October 2008 - Holding(s) in Company
31 October 2008 - Holding(s) in Company
3 November 2008 - Portfolio Update
10 December 2008 - Interim Management Statement
19 December 2008 - Dividend Declaration
19 January 2009 - Holding(s) in Company
2 February 2009 - Holding(s) in Company
4 February 2009 - Portfolio Update
26 March 2009 - Dividend Declaration
14 April 2009 - Holding(s) in Company
20 April 2009 - Final Results
20 April 2009 - Directorate Change
20 April 2009 - Holding(s) in Company
22 April 2009 - Holding(s) in Company
22 April 2009 - Annual Report and Accounts
5 May 2009 - Portfolio Update
2. Documents filed with the U.S. Securities and Exchange Commission
Copies of the regulatory filings listed below as submitted to the U.S.
Securities and Exchange Commission are available on line at: www.sec.gov
30 July 2008 - Quarterly report filed by institutional managers, Holdings
(13F-HR)
14 November 2008 - Quarterly report filed by institutional managers, Holdings
(13F-HR)
9 February 2009 - Quarterly report filed by institutional managers, Holdings
(13F-HR)
20 February 2009 - Statement of acquisition of beneficial ownership by
individuals SC 13G/A)
3. Documents filed with the Registrar of Companies:
All of the documents were filed with Companies House, 37 Castle Terrace,
Edinburgh, EH1 2EB on or around the dates indicated (Documents can be obtained
from Companies House or if you are a registered user through the Internet via
Companies House Direct at: www.direct.companieshouse.gov.uk).
4 June 2008 - Future Amended Articles of Association approved
4 June 2008 - Market Purchases Approv 23/05/08 (RES 13)
11 June 2008 - Director's Particulars Changed Clare Salmon
(288c)
13 June 2008 - Group of Companies' Accounts (Made up to 31/01/
08) (AA)
29 August 2008 - Director's Resigned Alan Harden (288b)
6 October 2008- Articles of Association
9 December 2008 - Interim Accounts (made up to 31/07/08) (AA)
14 March 2009 - Director's Particulars Changed Clare Salmon
(288c)
2 April 2009- Annual Return (made up to 01/03/09) (363a)
11 May 2009 - Director Resigned David Deards (288b)
4. Printed Publications:
All publications are available to be downloaded from www.alliancetrust.co.uk or
from the Company Secretary, Alliance Trust PLC, Meadow House, 64 Reform Street,
Dundee DD1 1TJ.
Interim Report for the 6 months ended 31 July 2008, published 30 September 2008
Annual Review incorporating Summary Financial Statement, published 22 April
2008
Annual Report and Accounts for the year ended 31 January 2008, published 22
April 2008
Fact Sheets:
31 May 2008
30 June 2008
31 July 2008
31 August 2008
30 September 2008
31 October 2008
30 November 2008
31 December 2008
31 January 2009
28 February 2009
31 March 2009
Investor Magazines:
Spring 2008
Autumn 2008
5. Electronic Publications
The Company has published the following publications solely on its website,
www.alliancetrust.co.uk:
Our Views on Global Markets (July 2008)
Market View - UK Banks (August 2008)
Market View - US Outlook (October 2008)
Our Views on Global Markets (October 2008)
6. Shareholder Communications
The Company has despatched the following documents to holders of its
securities:
Annual Report and Accounts or Annual Review for the year ended 31 January 2009,
Notice of Annual General Meeting and letter from Chairman, Form of Proxy, sent
22 April 2009
7. Other Sources of Information:
The Company's shares are listed on the London Stock Exchange and its share
price is published in the Financial Times and other newspapers. The share price
is also available at:
www.alliancetrust.co.uk
For further information please contact:
Name: Ian Anderson
Alliance Trust PLC
Phone: +44 (0)1382 321238
*A Private Investor is a recipient of the information who meets all of the conditions set out below, the recipient:
Obtains access to the information in a personal capacity;
Is not required to be regulated or supervised by a body concerned with the regulation or supervision of investment or financial services;
Is not currently registered or qualified as a professional securities trader or investment adviser with any national or state exchange, regulatory authority, professional association or recognised professional body;
Does not currently act in any capacity as an investment adviser, whether or not they have at some time been qualified to do so;
Uses the information solely in relation to the management of their personal funds and not as a trader to the public or for the investment of corporate funds;
Does not distribute, republish or otherwise provide any information or derived works to any third party in any manner or use or process information or derived works for any commercial purposes.
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