Time Source Company Announcement
05 Oct 2000 06:04 PM Net Asset Value
05 Oct 2000 06:04 PM Net Asset Value
05 Oct 2000 05:49 PM Notification of Interest
05 Oct 2000 05:45 PM Notification of Interest
05 Oct 2000 05:45 PM Net Asset Value
05 Oct 2000 05:30 PM Dividend
05 Oct 2000 05:26 PM Blocklisting Interim Review
05 Oct 2000 05:21 PM Blocklisting Interim Review
05 Oct 2000 05:21 PM Net Asset Value
05 Oct 2000 05:20 PM Net Asset Value
05 Oct 2000 05:09 PM Purchase of Own Securities
05 Oct 2000 04:56 PM Directors Shareholding(s)
05 Oct 2000 04:51 PM Doc re Pricing Supplement
05 Oct 2000 04:46 PM Blk Listing Six-Mnthly Return
05 Oct 2000 04:46 PM Net Asset Value
05 Oct 2000 04:44 PM Director Shareholding
05 Oct 2000 04:42 PM Net Asset Value
05 Oct 2000 04:38 PM Net Asset Value
05 Oct 2000 04:34 PM Net Asset Value
05 Oct 2000 04:33 PM Net Asset Value
05 Oct 2000 04:33 PM Net Asset Value
05 Oct 2000 04:18 PM Dividend Declaration
05 Oct 2000 04:09 PM Re Joint Venture
05 Oct 2000 04:04 PM Purchase of Own Securities
05 Oct 2000 03:53 PM Re Agreements
05 Oct 2000 03:49 PM Notice of Results
05 Oct 2000 03:47 PM Directors Shareholding(s)
05 Oct 2000 03:46 PM Holding in Company
05 Oct 2000 03:42 PM Directors Shareholding(s)
05 Oct 2000 03:41 PM Net Asset Value
05 Oct 2000 03:40 PM Directors Shareholding(s)
05 Oct 2000 03:32 PM Director Shareholding
05 Oct 2000 03:32 PM Daily Net Asset Value
05 Oct 2000 03:21 PM Daily Net Asset Value
05 Oct 2000 03:20 PM Net Asset Value
05 Oct 2000 02:55 PM Net Asset Value
05 Oct 2000 02:47 PM Acquisition
05 Oct 2000 02:40 PM Net Asset Value
05 Oct 2000 02:29 PM Directors Shareholding(s)
05 Oct 2000 02:29 PM Doc re Resolutions Passed
05 Oct 2000 02:26 PM Director Shareholding(s)
05 Oct 2000 02:12 PM Net Asset Value
05 Oct 2000 02:10 PM Net Asset Value
05 Oct 2000 02:09 PM Net Asset Value
05 Oct 2000 02:08 PM Net Asset Value
05 Oct 2000 02:06 PM Net Asset Value
05 Oct 2000 02:06 PM Net Asset Value
05 Oct 2000 01:41 PM Director Shareholding
05 Oct 2000 01:22 PM Issue of Equity
05 Oct 2000 01:14 PM Net Asset Value
UK 100