Electra Private Equity PLC
23 January 2008
ELECTRA PRIVATE EQUITY PLC ('Electra' or 'the Company')
Annual Information Update
Electra hereby announces that, pursuant to Prospectus Rule 5.2, the following
summarises the information that Electra has published or made available to the
public over the 12 months to 23 January 2008
Announcements made by the Company via a Regulatory Information Service can be
downloaded from the London Stock Exchange Website www.londonstockexchange.com.
Copies of documents submitted to the UKLA's Document Viewing Facility can be
obtained upon request from the Company Secretary at the Company's registered
office.
Documents filed at Companies House can be obtained from Companies House, Crown
Way, Cardiff CF14 3UZ, or, upon request, from the Company Secretary at the
Company's registered office.
Note:
Some of the information in the documents listed below may be out of date at the
date of this announcement.
Information Published via a Regulatory Information Date of Publication
Service
Transaction in own Shares 22 January 2008
Director/PDMR Shareholding 22 January 2008
Annual Report and Accounts 8 January 2008
Portfolio Update 2 January 2008
Voting Rights and Capital 21 December 2007
Holding in Company (Bear, Stearns International Trading 19 December 2007
Ltd)
Transaction in own Shares 14 December 2007
Transaction in own Shares 6 December 2007
Transaction in own Shares 5 December 2007
Voting Rights and Capital 30 November 2007
Holding in Company (Carrousel Capital Ltd) 29 November 2007
Transaction in own Shares 27 November 2007
Transaction in own Shares 27 November 2007
Transaction in own Shares 23 November 2007
Unaudited Preliminary Results 20 November 2007
Holding in Company (Legal & General Group Plc) 5 October 2007
Portfolio Update 1 October 2007
Voting Rights and Capital 1 October 2007
Voting Rights and Capital 28 September 2007
Transaction in own Shares 19 September 2007
Transaction in own Shares 18 September 2007
Disposal (Dakota, Minnesota & Eastern Railroad 5 September 2007
Corporation)
Holding in Company (Carrousel Capital Ltd) 24 August 2007
Statement re. Allflex Holdings II 23 August 2007
Holding(s) in Company (Asset Value Investors Ltd) 31 July 2007
Portfolio Update 3 July 2007
Voting Rights and Capital 29 June 2007
Transaction in own Shares 21 June 2007
Interim Report and Accounts 19 June 2007
Disposal (Capital Safety Group) 15 June 2007
Director/PDMR Shareholding 14 June 2007
Acquisition (Kingfield Heath Holdings Limited) 7 June 2007
Interim Results 5 June 2007
Holding in Company (Prudential plc group of companies) 22 May 2007
Sale of Capital Safety Group 3 May 2007
Holding in Company (Carrousel Capital Ltd) 13 April 2007
Holding in Company (Rensburg Sheppards Investment 4 April 2007
Management Limited)
Holding in Company (British Empire Securities and General 4 April 2007
Trust PLC)
Holding in Company (Legal & General Group Plc) 4 April 2007
Portfolio Update 2 April 2007
Result of AGM 8 February 2007
Chairman's AGM Statement 8 February 2007
Documents submitted to the UK Listing Authority's Viewing Date of Submission
Facility
Annual Accounts (30 September 2007), Proxy and Notice of 8 January 2008
2008 AGM
Interim Accounts (31 March 2007) 19 June 2007
Resolution passed at AGM on 8 February 2007 8 February 2007
Documents submitted to Companies House Date of receipt by Companies House
Form 169 10 January 2008
Form 169 x three forms 20 December 2007
Form 169 14 December 2007
Form 288b 28 November 2007
Form 169 x two forms 16 October 2007
Form 169 17 July 2007
Annual Return 23 March 2007
Accounts for Year ended 30 September 2006 15 March 2007
Forms 288a 7 March 2007
Special Resolution 13 February 2007
Form 169 13 February 2007
Form 169 31 January 2007
Form 169 30 January 2007
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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