Braemar Seascope Group PLC
30 May 2006
BRAEMAR SEASCOPE GROUP PLC
30 May 2006
Annual Information Update
Braemar Seascope Group PLC ('Company') published its Report and Accounts for
year ended 28 February 2006 on 26 May 2006. In accordance with Prospectus Rule
5.2, the Company today announces that the following information has been
published or been made available to the public over the previous twelve months
up to and including 30 May 2006.
1) Regulatory Announcements
The following UK regulatory announcements have been made via the Regulatory News
Service of the London Stock Exchange:
Date Announcement
23.5.06 RNS London Stock Exchange Announcement - Holding in Company (notification of
shareholding by Barclays plc
4.5.06 RNS London Stock Exchange Announcement - Preliminary results for the 12 months ended 28
February 2006
28.3.06 RNS London Stock Exchange Announcement - Holding in Company (notification of
shareholding by Barclays plc)
22.3.06 RNS London Stock Exchange Announcement - Purchase of DV Howells and trading update
1.2.06 RNS London Stock Exchange Announcement - Holding in Company (notification of
shareholding by Barclays plc)
10.1.06 RNS London Stock Exchange Announcement - Holding in Company (notification of
shareholding by Barclays plc)
6.1.06 RNS London Stock Exchange Announcement - Block Listing six monthly return
10.11.05 RNS London Stock Exchange Announcement - Change in Directors' shareholdings
25.10.05 RNS London Stock Exchange Announcement - Purchase of shares by employee trust
25.10.05 RNS London Stock Exchange Announcement - Interim results for the 6 months ended 31
August 2005
19.10.05 RNS London Stock Exchange Announcement - IFRS Statement
7.9.05 RNS London Stock Exchange Announcement - Holding in Company (notification of
shareholding by Barclays plc)
22.8.05 RNS London Stock Exchange Announcement - Holding in Company (notification of
shareholding by Barclays plc)
29.6.05 RNS London Stock Exchange Announcement - Additional Listing
29.6.05 RNS London Stock Exchange Announcement - AGM Trading update
18.5.05 RNS London Stock Exchange Announcement - Change in Directors' shareholdings
17.5.05 RNS London Stock Exchange Announcement - Preliminary results for the 12 months ended 28
February 2005
Copies of these documents can be obtained from the London Stock Exchange at
www.londonstockexchange.com
2) Information Filed at Companies House
Date Type of Document Description
20-Dec-2005 Form 363s Return made up to 1 Dec 2005
2-July-2005 Annual Report Accounts made up to 28 Feb 2005
Copies of these documents can be obtained from Companies House at Crown Way,
Cardiff CF14 3UZ or www.companieshouse.gov.uk
3) Documents Sent to Shareholders
Date Type of Document Description
26-May-2006 Annual Report Accounts Made Up To 28-Feb-2006
26-May-2006 AGM Circular Circular for the AGM on 21-Jun-2006
24-Nov-2005 Interim Report Accounts for 6 months ended To 31-Aug-2005
A copy of this Annual Information Update and copies of the documents referred to
in it can be obtained from the Company Secretary at the Company's Registered
Office:
James Kidwell, Company Secretary, +44 (0)20 7535 2881
Braemar Seascope Group PLC
35 Cosway Street
London
NW1 5BT
UK
Further information on the Company can be found at the Company's website:
www.braemarseascope.com
In accordance with Article 27.3 of the Prospective Directive, we confirm that,
to the best of our knowledge, relating to the Company referred to above is up to
date at the date of this announcement but it is acknowledged that whilst the
information referred to in this update was up to date at the time of
publication, such disclosures may at any time become out of date due to changing
circumstances.
Enquiries
Braemar Seascope Group PLC
Tel: +44 (0)20 7535 2650
James Kidwell, Company Secretary, +44 (0)20 7535 2881
This information is provided by RNS
The company news service from the London Stock Exchange
*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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