City of London Inv Trust (CTY) RNS Announcements

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Date Time Source Announcement
27 Jun 2011 03:52 PM
RNS
Monthly Fact Sheet as at 31 May 2011
27 Jun 2011 02:19 PM
RNS
Net Asset Value(s)
24 Jun 2011 04:07 PM
RNS
Issue of Equity
24 Jun 2011 01:59 PM
RNS
Net Asset Value(s)
23 Jun 2011 12:01 PM
RNS
Net Asset Value(s)
23 Jun 2011 11:20 AM
RNS
Result of EGM
22 Jun 2011 11:45 AM
RNS
Net Asset Value(s)
21 Jun 2011 02:04 PM
RNS
Net Asset Value(s)
20 Jun 2011 02:40 PM
RNS
Net Asset Value(s)
17 Jun 2011 03:49 PM
RNS
Issue of Equity
17 Jun 2011 12:17 PM
RNS
Net Asset Value(s)
16 Jun 2011 12:55 PM
RNS
Net Asset Value(s)
15 Jun 2011 11:48 AM
RNS
Net Asset Value(s)
14 Jun 2011 01:38 PM
RNS
Net Asset Value(s)
13 Jun 2011 03:12 PM
RNS
Net Asset Value(s)
10 Jun 2011 11:24 AM
RNS
Net Asset Value(s)
09 Jun 2011 04:06 PM
RNS
Issue of Equity
09 Jun 2011 11:58 AM
RNS
Net Asset Value(s)
08 Jun 2011 01:33 PM
RNS
Net Asset Value(s)
07 Jun 2011 04:36 PM
RNS
Issue of Equity
07 Jun 2011 11:58 AM
RNS
Net Asset Value(s)
06 Jun 2011 03:16 PM
RNS
Net Asset Value(s)
03 Jun 2011 02:01 PM
RNS
Net Asset Value(s)
02 Jun 2011 05:16 PM
RNS
Issue of Equity
02 Jun 2011 12:22 PM
RNS
Net Asset Value(s)
02 Jun 2011 11:04 AM
RNS
Total Voting Rights
01 Jun 2011 11:28 AM
RNS
Net Asset Value(s)
31 May 2011 04:30 PM
RNS
Issue of Equity
31 May 2011 01:46 PM
RNS
Net Asset Value(s)
27 May 2011 04:20 PM
RNS
Issue of Equity
27 May 2011 11:40 AM
RNS
Monthly Fact Sheet as at 30 April 2011
27 May 2011 11:06 AM
RNS
Net Asset Value(s)
26 May 2011 12:55 PM
RNS
Net Asset Value(s)
25 May 2011 04:22 PM
RNS
Issue of Equity
25 May 2011 11:50 AM
RNS
Net Asset Value(s)
24 May 2011 12:09 PM
RNS
Net Asset Value(s)
23 May 2011 03:43 PM
RNS
Net Asset Value(s)
20 May 2011 04:37 PM
RNS
Notice of EGM
20 May 2011 12:03 PM
RNS
Net Asset Value(s)
19 May 2011 11:43 AM
RNS
Net Asset Value(s)
18 May 2011 11:30 AM
RNS
Net Asset Value(s)
17 May 2011 11:30 AM
RNS
Net Asset Value(s)
16 May 2011 03:38 PM
RNS
Net Asset Value(s)
13 May 2011 11:59 AM
RNS
Net Asset Value(s)
12 May 2011 01:46 PM
RNS
Net Asset Value(s)
11 May 2011 05:21 PM
RNS
Issue of Equity
11 May 2011 12:31 PM
RNS
Net Asset Value(s)
10 May 2011 02:25 PM
RNS
Net Asset Value(s)
09 May 2011 03:45 PM
RNS
Net Asset Value(s)
06 May 2011 05:00 PM
RNS
Interim Management Statement
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