Investors Capital Trust plc
Annual Information Update
Pursuant to the requirements of the Prospectus Rule 5.2, the following summarises the information that has been published or made available to the public by Investors Capital Trust plc ("the Company") over the period from 1 June 2011 to 31 May 2012
The Company uses the London Stock Exchange RNS service to make announcements to the market. Copies of announcements can be obtained from the RNS service using the following link http://www.londonstockexchange.com/en-gb/pricesnews/marketnews/. For Name/Code you can use the Company's short code ICTA
Report and Accounts and announcements are available from the National Storage Mechanism and these documents can be viewed at www.morningstar.co.uk/uk/nsm.
Report and accounts are also available on the Company's website, www.investorscapital.co.uk, or from the Company Secretary, F&C Investment Business Limited, 80 George Street, Edinburgh EH2 3BU.
Copies of documents filed with Companies House can be obtained by contacting the Companies House Contact Centre on 0870 33 33 636.
NOTES:
· Notifications of the Company's Net Asset Value are released daily on the RNS service and are not detailed individually in the list below.
· Some of the information listed may be out of date at the date of submission of this Annual Information Update.
Information published on RNS |
Date of Publication/Filing |
Annual Financial Report - available from Morningstar |
16 May 2012 |
Portfolio Update |
11 May 2012 |
Annual Financial Report for the year ended 31 March 2012 |
8 May 2012 |
Total Voting Rights |
1 May 2012 |
Holdings in Company |
1 May 2012 |
Portfolio Update |
13 April 2012 |
Transaction in Own Shares |
3 April 2012 |
Compliance with Model Code |
3 April 2012 |
Performance Update |
3 April 2012 |
Portfolio Update |
9 March 2012 |
Total Voting Rights |
1 March 2012 |
Portfolio Update |
13 February 2012 |
Director/PDMR |
10 February 2012 |
Transaction in Own Shares |
9 February 2012 |
Dividend and Capital Distribution |
26 January 2012 |
Interim Management Statement |
26 January 2012 |
Portfolio Update |
16 January 2012 |
Portfolio Update |
14 December 2011 |
Dividend and Capital Distribution |
18 November 2011 |
Interim Results to 30 September 2011 |
11 November 2011 |
Portfolio Update |
10 November 2011 |
Directors/PDMR - Herschel Post |
7 November 2011 |
Portfolio Update |
13 October 2011 |
Compliance with Model Code |
3 October 2011 |
Dividend and Capital Distribution |
15 September 2011 |
Portfolio Update |
12 September 2011 |
Directors/PDMR - H Post |
15 August 2011 |
Portfolio Update |
12 August 2011 |
Interim Management Statement |
4 August 2011 |
Portfolio Update |
13 July 2011 |
Dividend and Capital Distribution |
29 June 2011 |
Annual General Meeting Update |
29 June 2011 |
Portfolio Update |
13 June 2011 |
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Documents filed with the Registrar of Companies |
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Form SH03 - buy back of own shares for treasury |
8 March 2012 |
Interim Accounts for period to 31 December 2011 |
7 February 2012 |
Annual Return Form AR01 |
26 January 2012 |
Interim Accounts for period to 30 September 2011 |
16 November 2011 |
Annual Report and Accounts for year to 31 March 2011 |
28 September 2011 |
Resolutions passed at Annual General Meeting |
4 July 2011 |
Interim accounts for period to 31 May 2011 |
4 July 2011 |
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Printed Publications submitted to the UK Listing Authority National Storage Mechanism |
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Interim report for six months to 30 September 2011 |
11 November 2011 |
Annual Report for the year to 31 March 2012 |
16 May 2012 |
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