Time Source Company Announcement
15 Dec 1999 06:31 PM Directors' Dealings
15 Dec 1999 06:20 PM Net Asset Value
15 Dec 1999 06:20 PM Net Asset Value
15 Dec 1999 06:17 PM Net Asset Value
15 Dec 1999 06:17 PM Directors' Dealings
15 Dec 1999 06:17 PM Net Asset Value
15 Dec 1999 06:16 PM Net Asset Value
15 Dec 1999 06:13 PM Rule 8 Disclosure
15 Dec 1999 06:09 PM Doc re Pricing Supplement
15 Dec 1999 06:07 PM Net Asset Value
15 Dec 1999 06:06 PM Net Asset Value
15 Dec 1999 06:06 PM Net Asset Value
15 Dec 1999 06:05 PM Net Asset Value
15 Dec 1999 06:04 PM Holding in Company
15 Dec 1999 06:00 PM Net Asset Value
15 Dec 1999 05:53 PM Holding in Company
15 Dec 1999 05:52 PM Additional Listing
15 Dec 1999 05:49 PM Issue of Shares
15 Dec 1999 05:48 PM Net Asset Value
15 Dec 1999 05:47 PM Net Asset Value
15 Dec 1999 05:29 PM Millward Brown Buys Computerised Media Services
15 Dec 1999 05:27 PM Holding by HSBC Holdings PLC
15 Dec 1999 05:12 PM Recapitalisation of Bank Bali
15 Dec 1999 05:02 PM Directors' Dealings
15 Dec 1999 04:56 PM Directors' Dealings
15 Dec 1999 04:56 PM Additional Listing
15 Dec 1999 04:54 PM Directors' Dealings
15 Dec 1999 04:53 PM Directors' Dealings
15 Dec 1999 04:50 PM Directors' Dealings
15 Dec 1999 04:47 PM Purchase of Own Securities
15 Dec 1999 04:27 PM Additional Listing
15 Dec 1999 04:23 PM Additional Listing
15 Dec 1999 04:12 PM Directors' Dealings
15 Dec 1999 04:11 PM Directors' Dealings
15 Dec 1999 04:10 PM Directors' Dealings
15 Dec 1999 04:08 PM Net Asset Value
15 Dec 1999 04:08 PM Directors' Dealings
15 Dec 1999 04:02 PM Interim Results - 6 Months to 31 October 1999
15 Dec 1999 03:58 PM Net Asset Value
15 Dec 1999 03:57 PM Post Annual General Meeting Announcement
15 Dec 1999 03:49 PM Net Asset Value
15 Dec 1999 03:43 PM Rule 8 Disclosure
15 Dec 1999 03:37 PM Rule 8 Disclosure
15 Dec 1999 03:33 PM Rule 8 Disclosure
15 Dec 1999 03:26 PM Rule 8 Disclosure
15 Dec 1999 03:01 PM Rule 8 Disclosure
15 Dec 1999 02:51 PM Net Asset Value
15 Dec 1999 02:51 PM Net Asset Value
15 Dec 1999 02:50 PM Net Asset Value
15 Dec 1999 02:49 PM Net Asset Value
UK 100