Time Source Company Announcement
15 Aug 2000 06:28 PM Net Asset Value
15 Aug 2000 06:28 PM Net Asset Value
15 Aug 2000 06:15 PM Net Asset Value
15 Aug 2000 06:15 PM Net Asset Value
15 Aug 2000 06:11 PM Second Interim Dividend
15 Aug 2000 05:48 PM Additional Listing
15 Aug 2000 05:45 PM Interim Results
15 Aug 2000 05:41 PM Net Asset Value
15 Aug 2000 05:40 PM Holding in Company
15 Aug 2000 05:09 PM Rule 8 Disclosure
15 Aug 2000 05:08 PM Net Asset Value
15 Aug 2000 05:07 PM Rule 8 Disclosure
15 Aug 2000 05:06 PM Brochure of Particulars
15 Aug 2000 04:40 PM Net Asset Value
15 Aug 2000 04:39 PM Net Asset Value
15 Aug 2000 04:32 PM Directors' Notification of Dealing in Shares
15 Aug 2000 04:19 PM Net Asset Value
15 Aug 2000 04:18 PM Net Asset Value
15 Aug 2000 04:18 PM Net Asset Value
15 Aug 2000 04:17 PM Net Asset Value
15 Aug 2000 04:14 PM Net Asset Value
15 Aug 2000 04:13 PM Net Asset Value
15 Aug 2000 04:06 PM Net Asset Value
15 Aug 2000 04:05 PM Net Asset Value
15 Aug 2000 04:01 PM Net Asset Value
15 Aug 2000 03:59 PM Net Asset Value
15 Aug 2000 03:58 PM Net Asset Value
15 Aug 2000 03:52 PM Purchase of Own Securities
15 Aug 2000 03:44 PM Rule 8 Disclosure
15 Aug 2000 03:41 PM Net Asset Value
15 Aug 2000 03:30 PM Portfolio of Investments
15 Aug 2000 03:27 PM Rule 8 Disclosure
15 Aug 2000 03:21 PM Net Asset Value
15 Aug 2000 03:21 PM Net Asset Value
15 Aug 2000 03:20 PM Daily Net Asset Value
15 Aug 2000 03:19 PM Daily Net Asset Value
15 Aug 2000 03:18 PM Director's Notification of Dealing in Shares
15 Aug 2000 03:08 PM Directors' Notification of Dealing in Shares
15 Aug 2000 03:07 PM Net Asset Value
15 Aug 2000 03:04 PM Net Asset Value
15 Aug 2000 03:04 PM Net Asset Value
15 Aug 2000 02:52 PM Rule 8 Disclosure
15 Aug 2000 02:48 PM Net Asset Value
15 Aug 2000 02:47 PM Net Asset Value
15 Aug 2000 02:45 PM Directors' Notification of Dealing in Shares
15 Aug 2000 02:44 PM Net Asset Value
15 Aug 2000 02:29 PM Net Asset Value
15 Aug 2000 02:29 PM Net Asset Value
15 Aug 2000 02:27 PM Director's Interests
15 Aug 2000 02:27 PM Net Asset Value
UK 100