Time | Ticker | Company | Announcement | Share |
---|---|---|---|---|
18:31 | RNS | Final Announcement Released |
![]() |
|
18:23 | EMG | Man Group plc | Transaction in Own Shares |
![]() |
18:12 | Legal & General UCITS ETF PLC | Net Asset Value(s) |
![]() |
|
18:00 | 0Y4Q | Willis Towers Watson PLC | (Form 8.1(a)Willis Towers Watson plc) |
![]() |
18:00 | 0Y4Q | Willis Towers Watson PLC | (Form 8.1(a)Willis Towers Watson plc) |
![]() |
18:00 | AEFS | Alcentra European Fltng Rate Inc Fd | Net Asset Value(s) |
![]() |
18:00 | NBMI | NB Global Monthly Income Fund Ltd | Net Asset Value(s) |
![]() |
18:00 | NBDD | NB Distressed Debt Invest. Fd. Ltd | Net Asset Value(s) |
![]() |
18:00 | CBG | Close Brothers Group PLC | Share Purchase |
![]() |
17:55 | KETL | Strix Group PLC | Holding(s) in Company |
![]() |
17:53 | GROW | Draper Esprit PLC | Holding(s) in Company |
![]() |
17:51 | MTL | Metals Exploration PLC | Completion of Proposed Restructuring |
![]() |
17:47 | Varenne Capital Partners | Form 8.3 - Hastings Group Holdings plc |
![]() |
|
17:46 | CBND | GS Access China Bond ETF $ Dist. | Net Asset Value(s) |
![]() |
17:45 | CCC | Computacenter PLC | Approval of Arrangement Agreement |
![]() |
17:45 | RMG | Royal Mail PLC | Holding(s) in Company |
![]() |
17:45 | Goldman Sachs ETF ICAV | Net Asset Value(s) |
![]() |
|
17:41 | China Post Global | Net Asset Value(s) |
![]() |
|
17:37 | GFIN | Gfinity PLC | Form 8.3 - Gfinity plc |
![]() |
17:35 | BNKR | Bankers Investment Trust PLC | Issue of Equity |
![]() |
17:30 | FTSE Russell | Verona Pharma |
![]() |
|
17:29 | GLO | ContourGlobal PLC | Transaction in Own Shares |
![]() |
17:28 | BGLF | Blackstone / GSO Loan Financing Ltd | Transaction in Own Shares |
![]() |
17:27 | AGT | AVI Global Trust PLC | Transaction in Own Shares |
![]() |
17:26 | UEM | Utilico Emerging Markets Trust PLC | Transaction in Own Shares |
![]() |
17:25 | 63AS | HSBC Bank plc | Publication of Base Prospectus Supplement |
![]() |
17:25 | SST | Scottish Oriental Smlr Co Tst PLC | Transaction in Own Shares |
![]() |
17:20 | BGCG | Baillie Gifford China Grwth TrstPLC | Issue of Equity |
![]() |
17:18 | BBGI | BBGI SICAV S.A. | Director/PDMR Shareholding |
![]() |
17:16 | Merrill Lynch Intl (DTG) Syndicate | Stabilisation Notice |
![]() |
|
17:16 | Silchester International Inv. LLP | Form 8.3 - William Hill plc |
![]() |
|
17:15 | Takeover Panel | Disclosure Table (POTAM only) |
![]() |
|
17:15 | HAS | Hays PLC | Transaction in Own Shares |
![]() |
17:14 | SIGT | Seneca Global Income & Growth PLC | Transaction in Own Shares |
![]() |
17:13 | 94DW | Bank of Montreal | Pre-Stabilisation Notice |
![]() |
17:12 | Bank of America Merrill Lynch | Form 8.5 (EPT/RI) - Amendment |
![]() |
|
17:11 | MYI | Murray International Trust PLC | Transaction in Own Shares |
![]() |
17:10 | SCIN | Scottish Investment Trust PLC | Transaction in Own Shares |
![]() |
17:10 | DGN | Asia Dragon Trust PLC | Transaction in Own Shares |
![]() |
17:10 | VNH | VietNam Holding Limited | Share Buy Back and Cancellation |
![]() |
17:09 | AAS | Aberdeen Standard Asia Focus PLC | Transaction in Own Shares |
![]() |
17:09 | ATR | Schroder Asian Total Retn InvCo PLC | Issue of Equity |
![]() |
17:07 | 96XN | Clarion Funding plc | Quarterly performance update |
![]() |
17:07 | ABD | Aberdeen New Dawn Invest Trust PLC | Transaction in Own Shares |
![]() |
17:07 | ANII | Aberdeen New India Invest Trust PLC | Transaction in Own Shares |
![]() |
17:06 | POW | Power Metal Resources PLC | Exercise of Warrants |
![]() |
17:05 | BGSC | BMO Global Smaller Companies PLC | Transaction in Own Shares |
![]() |
17:05 | Bank of America Merrill Lynch | Form 8.5 (EPT/RI) - Amendment |
![]() |
|
17:04 | FAIR | Fair Oaks Income Limited | Reinvestment of Management Fees |
![]() |
17:04 | Mawer Investment Management Ltd | Form 8.3 Aon plc |
![]() |
|
17:03 | Bank of America Merrill Lynch | Form 8.5 (EPT/RI) - Amendment |
![]() |
|
17:03 | Bank of America Merrill Lynch | Form 8.5 (EPT/RI) - Amendment |
![]() |
|
17:02 | JEO | European Opportunities Trust PLC | Transaction in Own Shares |
![]() |
17:02 | Bank of America Merrill Lynch | Form 8.5 (EPT/NON-RI) - Amendment |
![]() |
|
17:01 | JEMI | JPMorgan Glb Emerging Mkts Inc Tst | Holding(s) in Company |
![]() |
17:00 | PMO | Premier Oil PLC | Holding(s) in Company |
![]() |
17:00 | AIRE | Alternative Income REIT PLC | Annual Financial Report and Notice of AGM |
![]() |
16:58 | MNP | Martin Currie Global Portfolio Tst | Transaction in Own Shares |
![]() |
16:53 | Bank of America Merrill Lynch | Form 8.5 (EPT/RI) - Amendment |
![]() |
|
16:52 | HSTG | Hastings Group Holdings plc | TR-1: Notification of Major Holdings |
![]() |
16:52 | WTAN | Witan Investment Trust PLC | Transaction in Own Shares |
![]() |
16:50 | BATS | British American Tobacco PLC | Holding(s) in Company |
![]() |
16:48 | BBGI | BBGI SICAV S.A. | Holding(s) in Company |
![]() |
16:46 | JPE | JPMorgan Elect PLC | Transaction in Own Shares |
![]() |
16:45 | JCGI | JPMorgan China Growth & Income PLC | Holding(s) in Company |
![]() |
16:44 | WCM Investment Management LLC | Form 8.3 - Aon PLC |
![]() |
|
16:41 | KIBO | Kibo Energy PLC | Second Price Monitoring Extn |
![]() |
16:41 | VP. | Vp PLC | Second Price Monitoring Extn |
![]() |
16:41 | THR | Thor Mining PLC | Second Price Monitoring Extn |
![]() |
16:41 | DVRG | Deepverge PLC | Second Price Monitoring Extn |
![]() |
16:41 | POLX | Polarean Imaging PLC | Second Price Monitoring Extn |
![]() |
16:41 | NOG | Nostrum Oil & Gas PLC | Second Price Monitoring Extn |
![]() |
16:41 | RDL | RDL Realisation PLC | Second Price Monitoring Extn |
![]() |
16:41 | MYSL | MySale Group PLC | Second Price Monitoring Extn |
![]() |
16:40 | ACI | Alternative Credit Investments PLC | Holding(s) in Company |
![]() |
16:40 | TLOU | Tlou Energy Ltd | Second Price Monitoring Extn |
![]() |
16:40 | TEG | Ten Entertainment Group PLC | Second Price Monitoring Extn |
![]() |
16:40 | PRV | Porvair PLC | Second Price Monitoring Extn |
![]() |
16:40 | NSF | Non-Standard Finance PLC | Second Price Monitoring Extn |
![]() |
16:40 | SSON | Smithson Investment Trust PLC | Issue of Equity |
![]() |
16:36 | RDL | RDL Realisation PLC | Price Monitoring Extension |
![]() |
16:36 | NOG | Nostrum Oil & Gas PLC | Price Monitoring Extension |
![]() |
16:36 | VP. | Vp PLC | Price Monitoring Extension |
![]() |
16:36 | THR | Thor Mining PLC | Price Monitoring Extension |
![]() |
16:36 | BGS | Baillie Gifford Shin Nippon PLC | Issue of Equity |
![]() |
16:36 | AXI | Axiom European Financial Debt Fd Ld | Net Asset Value(s) |
![]() |
16:35 | IDH | Immunodiagnostic Systems Hldgs PLC | H1 Trading Update |
![]() |
16:35 | MTE | Montanaro European Smaller C.TstPLC | Net Asset Value(s) |
![]() |
16:35 | MNKS | Monks Investment Trust PLC | Issue of Equity |
![]() |
16:35 | NSF | Non-Standard Finance PLC | Price Monitoring Extension |
![]() |
16:35 | KIBO | Kibo Energy PLC | Price Monitoring Extension |
![]() |
16:35 | TLOU | Tlou Energy Ltd | Price Monitoring Extension |
![]() |
16:35 | PRV | Porvair PLC | Price Monitoring Extension |
![]() |
16:35 | ALU | Alumasc Group PLC | Price Monitoring Extension |
![]() |
16:35 | TEG | Ten Entertainment Group PLC | Price Monitoring Extension |
![]() |
16:35 | POLX | Polarean Imaging PLC | Price Monitoring Extension |
![]() |
16:35 | MYSL | MySale Group PLC | Price Monitoring Extension |
![]() |
16:35 | DVRG | Deepverge PLC | Price Monitoring Extension |
![]() |
16:34 | OGN | Origin Enterprises Plc | Holding(s) in Company |
![]() |
16:32 | IGG | IG Group Holdings plc | Holding(s) in Company |
![]() |
16:30 | PTAL | PetroTal Corp. | Change in Admission date |
![]() |
16:30 | DCC | DCC PLC | Holding in Company TR-1 |
![]() |
16:26 | POLR | Polar Capital Holdings PLC | Notice of Results |
![]() |
16:18 | AMAT | Amati AIM VCT PLC | Net Asset Value(s) |
![]() |
16:17 | ELSA | Societatea Energetica Electrica SA | Transactions reported acc. to Romanian law |
![]() |
16:16 | MOS | Mobile Streams plc | Holding(s) in Company |
![]() |
16:15 | GFTU | Grafton Group PLC | Holding(s) in Company |
![]() |
16:14 | IGG | IG Group Holdings plc | Director/PDMR Shareholding |
![]() |
16:13 | HZD | Horizon Discovery Group plc | Holding(s) in Company |
![]() |
16:11 | Brandes Investment Partners L.P. | Form 8.3 - G4S plc |
![]() |
|
16:11 | AST | Ascent Resources PLC | Exercise of Warrants |
![]() |
16:09 | EWI | Edinburgh Worldwide Inv Trust PLC | Issue of Equity |
![]() |
16:08 | DVRG | Deepverge PLC | Comment on detection of COVID-19 in UK Sewage |
![]() |
16:04 | CCPG | CVC Credit Partners European Opps. | Net Asset Value Weekly to 16 Oct 2020 |
![]() |
16:03 | UEM | Utilico Emerging Markets Trust PLC | Statement re Inside Information under MAR |
![]() |
15:59 | CBKD | Commercial Intnl Bank (Egypt) SAE | CIB Press Release |
![]() |
15:47 | SOHO | Triple Point Social Housing REIT | Director/PDMR Shareholding |
![]() |
15:47 | ATT | Allianz Technology Trust PLC | Block listing Allotment of new shares |
![]() |
15:44 | IIT | Independent Investment Trust PLC | Holding(s) in Company |
![]() |
15:38 | MTU | Montanaro UK Smlr Cos Inv Tst PLC | Net Asset Value(s) |
![]() |
15:37 | 17YJ | BHP Billiton Finance Limited | Publication of a Prospectus |
![]() |
15:36 | PHI | Pacific Horizon Investment Tst PLC | Issue of Equity |
![]() |
15:36 | BHP Billiton Finance PLC | Publication of a Prospectus |
![]() |
|
15:33 | SHG | Shanta Gold Limited | Result of Fundraising |
![]() |
15:30 | AML | Aston Martin Lagonda Global Hld PLC | Holding(s) in Company |
![]() |
15:30 | AVG | Avingtrans PLC | Holding(s) in Company |
![]() |
15:30 | Syquant Capital | Form 8.3 -HSTG LN |
![]() |
|
15:30 | Syquant Capital | Form 8.3 -SDL LN |
![]() |
|
15:30 | Syquant Capital | Form 8.3 - RWS LN |
![]() |
|
15:30 | CPS | CPL Resources PLC | Annual Financial Report and Notice of AGM |
![]() |
15:30 | AEMC | Aberdeen Emerging Markets Inv Co Ld | Net Asset Value(s) |
![]() |
15:30 | CCR | C&C Group Plc | Director/PDMR Shareholding |
![]() |
15:29 | Lloyds Of London | Lloyds 2021 Capacity Auction 1 Results |
![]() |
|
15:29 | Pericles Themistocli | Form 8.3 - Microsaic Systems PLC |
![]() |
|
15:29 | IHP | IntegraFin Holdings plc | Director/PDMR Shareholding |
![]() |
15:28 | STCK | Stock Spirits Group PLC | Director/PDMR Shareholding |
![]() |
15:26 | 83NO | Lanark Master Issuer PLC | Notice of Cancellation of Listing and Trading |
![]() |
15:25 | State Street Global Advisors | Form 8.3 - William Hill PLC |
![]() |
|
15:25 | ATT | Allianz Technology Trust PLC | Block listing Allotmnent of new shares |
![]() |
15:24 | AGT | AVI Global Trust PLC | Net Asset Value(s) |
![]() |
15:24 | STB | Secure Trust Bank PLC | Holding(s) in Company |
![]() |
15:20 | BlackRock Group | Form 8.3 - G4S plc |
![]() |
|
15:20 | BlackRock Group | Form 8.3 - William Hill plc |
![]() |
|
15:20 | BlackRock Group | Form 8.3 - Willis Towers Watson Plc |
![]() |
|
15:20 | BlackRock Group | Form 8.3 - Aon Plc |
![]() |
|
15:19 | State Street Global Advisors | Form 8.3 - G4S Plc |
![]() |
|
15:19 | Artemis Investment Management LLP | Form 8.3 - William Hill plc |
![]() |
|
15:17 | Northern Trust Corporation | Form 8.3 - Willis Towers Watson PLC |
![]() |
|
15:17 | OIT | Odyssean Investment Trust PLC | Net Asset Value(s) |
![]() |
15:14 | ATT | Allianz Technology Trust PLC | Block listing Allotment of new shares |
![]() |
15:14 | Threadneedle Asset Mgmt Hldgs Ltd | Form 8.3 - RWS Holdings |
![]() |
|
15:12 | RQIH | Randall & Quilter Inv Hldgs Ltd | TR-1: Notification of major holdings |
![]() |
15:07 | SNOX | SulNOx Group PLC | Result of AGM & Resignation of Auditors |
![]() |
15:05 | MTRO | Metro Bank PLC | Holding(s) in Company |
![]() |
15:04 | 95FS | Macquarie Group Ltd | Form 8.3 - G4S Plc |
![]() |
15:03 | Northern Trust Corporation | Form 8.3 - Aon Plc |
![]() |
|
15:02 | CKN | Clarkson PLC | Block listing Interim Review |
![]() |
15:00 | QLT | Quilter PLC | Form 8.3 - Alternative Credit Investments PLC |
![]() |
15:00 | Citadel Group | Form 8.3 - Willis Towers Watson plc |
![]() |
|
15:00 | ROR | Rotork PLC | Holding(s) in Company |
![]() |
15:00 | RMMC | River & Mercantile UK Micro Cap Inv | Net Asset Value(s) |
![]() |
14:59 | SUPP | Schroder UK Public Private Tst plc | Holding(s) in Company |
![]() |
14:58 | MINI | Miton UK MicroCap Trust plc | Net Asset Value(s) |
![]() |
14:57 | Legal & General Investment Mgmnt Ld | Form 8.3 - G4S Plc |
![]() |
|
14:54 | UEX | Urban Exposure PLC | Notification of Major Holdings |
![]() |
14:54 | UBS AG (EPT) | Form 8.5 (EPT/RI) Eurasia Mining PLC amendment |
![]() |
|
14:53 | ORNT | Orient Telecoms PLC | Notice of AGM |
![]() |
14:52 | Eagle Capital Management, LLC | Form 8.3 - [Aon Plc] |
![]() |
|
14:48 | UBLS | United Bank Limited | Board Meeting in Progress - United Bank Ltd. |
![]() |
14:45 | CYN | CQS Natural Resources Grwth&Inc PLC | Net Asset Value(s) |
![]() |
14:43 | PEMB | Pembroke VCT PLC | Net Asset Value(s) |
![]() |
14:37 | MTU | Montanaro UK Smlr Cos Inv Tst PLC | Compliance with Market Abuse Regulation |
![]() |
14:35 | IEM | Impax Environmental Markets PLC | Net Asset Value(s) |
![]() |
14:31 | SNGR | S.N.G.N. Romgaz S.A. | OGMS Resolution October 23, 2020 |
![]() |
14:30 | ITX | Itaconix PLC | Result of AGM |
![]() |
14:30 | HAN | Hansa Investment Company Limited | Net Asset Value(s) |
![]() |
14:26 | BBH | BB Healthcare Trust PLC | Issue of Equity |
![]() |
14:22 | GENE | UBS (IRL) ETF GL GEN EQ USD | Net Asset Value(s) |
![]() |
14:22 | SRIU | UBS ETF MSCI USA SR (USD) Dis | Net Asset Value(s) |
![]() |
14:22 | SRWG | UBS ETF MSCI World SR H-(GBP) DIS | Net Asset Value(s) |
![]() |
14:22 | SRIW | UBS ETF MSCI WORLD SR (USD) Dis | Net Asset Value(s) |
![]() |
14:22 | SRUG | UBS ETF MSCI USA SR H-(GBP) Dis | Net Asset Value(s) |
![]() |
14:21 | FRXD | Frk LibertyQ Euro Dividend UCITS E | Net Asset Value(s) |
![]() |
14:21 | UKSR | UBS ETF MSCI UK SRI A-Dis | Net Asset Value(s) |
![]() |
14:21 | FRGD | Frk LibertyQ Global Dividend UCITS$ | Net Asset Value(s) |
![]() |
14:21 | UC95 | UBS ETF Fctr M. USA Low Vol. A-DIS | Net Asset Value(s) |
![]() |
14:21 | FRUE | Frk LibertyQ U.S. Equity UCITS $ | Net Asset Value(s) |
![]() |
14:21 | UC96 | UBS ETF Fctr USA Prime Val A-DIS | Net Asset Value(s) |
![]() |
14:21 | FREM | Frk LibertyQ Emerging MarketsUCITS$ | Net Asset Value(s) |
![]() |
14:21 | UC99 | UBS ETF Fctr USA Quality USD A-DIS | Net Asset Value(s) |
![]() |
14:21 | FLUC | Frk Liberty USD IG Corp Bond UCITS$ | Net Asset Value(s) |
![]() |
14:21 | AUGA | UBS ETF Aus Hedg.to GBP A-Acc | Net Asset Value(s) |
![]() |
14:21 | FLES | Frk Liberty Euro Short Mat UCITS E | Net Asset Value(s) |
![]() |
14:21 | UPVL | UBS ETF Factor USA Prime V. H. | Net Asset Value(s) |
![]() |
14:21 | FLEQ | Frk LibertyQ European Equity UCITSE | Net Asset Value(s) |
![]() |
14:21 | UQLT | UBS ETF Factor USA Quality H. | Net Asset Value(s) |
![]() |
14:21 | FLQA | Frk LibertyQ AC Asia Ex Japan $ | Net Asset Value(s) |
![]() |
14:21 | USPG | UBS ETF S&P 500 GBP HD A-DIS | Net Asset Value(s) |
![]() |
14:21 | USFM | UBS ETF MSCI US SEL Factor Mix USD | Net Asset Value(s) |
![]() |
14:21 | AUAD | UBS (Irl) MSCI Australia AUD A-DIS | Net Asset Value(s) |
![]() |
14:21 | AWSG | UBS (Irl) ACWI SRI HDG DIS | Net Asset Value(s) |
![]() |
14:21 | AWSR | UBS (Irl) ACWI SRI HDG $ ACC | Net Asset Value(s) |
![]() |
14:21 | GENG | UBS (IRL) ETF GL GEN EQ HDG GPB | Net Asset Value(s) |
![]() |
14:20 | UC04 | UBS ETF MSCI USA UCITS (USD) A-dis | Net Asset Value(s) |
![]() |
14:20 | UC07 | UBS ETF MSCI USA Val UCITS(USD)Adis | Net Asset Value(s) |
![]() |
14:20 | FRGE | Frk LibertyQ Glbl Eqty SRI UCITS $ | Net Asset Value(s) |
![]() |
14:20 | UC13 | UBS ETF S&P 500 UCITS (USD) A dis | Net Asset Value(s) |
![]() |
14:16 | J.P. Morgan Securities PLC. | Stabilisation Notice |
![]() |
|
14:15 | SHIP | Tufton Oceanic Assets Ltd. | Result of Annual General Meeting |
![]() |
14:15 | Greenvale Capital LLP | Form 8.3 - William Hill PLC |
![]() |
|
14:14 | BNP Paribas London | Form 8.3 -William Hill Plc |
![]() |
|
14:14 | Franklin Templeton Intnl Svcs SARL | Net Asset Value(s) |
![]() |
|
14:14 | IRSH | UBS (Irl) ETF PLC | Net Asset Value(s) |
![]() |
14:10 | Albert Bridge Capital LLP | Form 8.3 - AA Plc |
![]() |
|
14:10 | MMIT | Mobius Investment Trust PLC | Net Asset Value(s) |
![]() |
14:06 | RMS | Remote Monitored Systems PLC | Second Price Monitoring Extn |
![]() |
14:05 | POLX | Polarean Imaging PLC | Second Price Monitoring Extn |
![]() |
14:05 | TLOU | Tlou Energy Ltd | Second Price Monitoring Extn |
![]() |
14:05 | IDP | InnovaDerma PLC | Requisition notice and Progress of CEO appointment |
![]() |
14:04 | T.Rowe Price Associates | Form 8.3 - [Willis Towers Watson Plc] |
![]() |
|
14:04 | RCDO | Ricardo PLC | Holding(s) in Company |
![]() |
14:00 | SGRO | SEGRO PLC | Holding(s) in Company |
![]() |
14:00 | RSA | RSA Insurance Group PLC | Board and Committee changes |
![]() |
14:00 | EVR | Evraz Plc | NOTICE OF Q3 2020 TRADING UPDATE CONFERENCE CALL |
![]() |
14:00 | POLX | Polarean Imaging PLC | Price Monitoring Extension |
![]() |
14:00 | PREM | Premier African Minerals Limited | Price Monitoring Extension |
![]() |
14:00 | RMS | Remote Monitored Systems PLC | Price Monitoring Extension |
![]() |
14:00 | TLOU | Tlou Energy Ltd | Price Monitoring Extension |
![]() |
13:55 | STB | Secure Trust Bank PLC | Director/PDMR Shareholding |
![]() |
13:52 | STB | Secure Trust Bank PLC | Director/PDMR Shareholding |
![]() |
13:52 | WTAN | Witan Investment Trust PLC | Net Asset Value(s) |
![]() |
13:50 | VIN | Value and Income Trust plc | Monthly Factsheet |
![]() |
13:50 | 83NN | Hitachi Capital (UK) PLC | Updated Hitachi Capital: Business Integration |
![]() |
13:49 | NCYF | CQS New City High Yield Fund Ltd | Net Asset Value(s) |
![]() |
13:47 | CLIN | Clinigen Group plc | Grant of share options and PDMR notification |
![]() |
13:44 | ASEI | Aberdeen Standard Equity Income Tst | Net Asset Value(s) |
![]() |
13:44 | ASCI | Aberdeen Smaller Co's Inc Tst PLC | Net Asset Value(s) |
![]() |
13:44 | SLS | Standard Life UK Small.Co's Tst PLC | Net Asset Value(s) |
![]() |
13:44 | ANII | Aberdeen New India Invest Trust PLC | Net Asset Value(s) |
![]() |
13:44 | AAS | Aberdeen Standard Asia Focus PLC | Net Asset Value(s) |
![]() |
13:44 | AJIT | Aberdeen Japan Investment Trust PLC | Net Asset Value(s) |
![]() |
13:44 | AAIF | Aberdeen Asian Income Fund Limited | Net Asset Value(s) |
![]() |
13:44 | ALAI | Aberdeen Latin American Inc Fd Ltd | Net Asset Value(s) |
![]() |
13:43 | ADIG | Aberdeen Diversified I&G Trust PLC | Net Asset Value(s) |
![]() |
13:43 | DIG | Dunedin Income Growth Inv Tst PLC | Net Asset Value(s) |
![]() |
13:43 | MUT | Murray Income Trust PLC | Net Asset Value(s) |
![]() |
13:43 | MYI | Murray International Trust PLC | Net Asset Value(s) |
![]() |
13:43 | SHRS | Shires Income PLC | Net Asset Value(s) |
![]() |
13:43 | DGN | Asia Dragon Trust PLC | Net Asset Value(s) |
![]() |
13:43 | ABD | Aberdeen New Dawn Invest Trust PLC | Net Asset Value(s) |
![]() |
13:43 | ANW | Aberdeen New Thai Inv Trust PLC | Net Asset Value(s) |
![]() |
13:42 | NAIT | North American Income Trust (The) | Net Asset Value(s) |
![]() |
13:38 | iShares Physical Metals Plc | Publication of Final Terms |
![]() |
|
13:36 | iShares Physical Metals Plc | Publication of Final Terms |
![]() |
|
13:33 | AIE | Ashoka India Equity Investment Tst | Net Asset Value(s) |
![]() |
13:33 | ARR | Aurora Investment Trust PLC | Net Asset Value(s) |
![]() |
13:31 | TRY | TR Property Investment Trust PLC | Net Asset Value(s) |
![]() |
13:31 | FIL Limited | Form 8.3 - Willis Towers Watson Plc |
![]() |
|
13:31 | CLC | Calculus VCT PLC | Half-year Report |
![]() |
13:30 | SDR | Schroders PLC | Form 8.3 - William Hill plc |
![]() |
13:29 | AJOT | AVI Japan Opportunity Trust PLC | Net Asset Value(s) |
![]() |
13:27 | JCGI | JPMorgan China Growth & Income PLC | Update re: equity issuance |
![]() |
13:26 | 0UKI | Bank of Nova Scotia | Form 8.3 - G4S plc |
![]() |
13:21 | SCIN | Scottish Investment Trust PLC | Net Asset Value(s) |
![]() |
13:19 | INDI | Indus Gas Limited | Result of AGM |
![]() |
13:17 | DDDD | 4d Pharma PLC | Holding(s) in Company |
![]() |
13:15 | GCL | Geiger Counter Ltd | Net Asset Value(s) |
![]() |
13:15 | MVI | Marwyn Value Investors Limited | Partial Cash Redemption of Realisation Shares |
![]() |
13:13 | MNP | Martin Currie Global Portfolio Tst | Net Asset Value(s) |
![]() |
13:12 | STS | Securities Trust of Scotland PLC | Net Asset Value(s) |
![]() |
13:07 | Takeover Panel | Disclosure Table (POTAM only) |
![]() |
|
13:05 | TUNG | Tungsten Corporation PLC | Holding(s) in Company |
![]() |
13:02 | WisdomTree Metal Securities Limited | Issue of WisdomTree Metal Securities Limited |
![]() |
|
13:02 | GBS | Gold Bullion Securities Ltd | Issue of Gold Bullion Securities Limitied |
![]() |
13:00 | FIVE | X5 Retail Group N.V. | X5 OPENS FIRST CASHIERLESS PYATEROCHKA |
![]() |
13:00 | RIO | Rio Tinto PLC | Block listing Interim Review |
![]() |
13:00 | 888 | 888 Holdings plc | Holding(s) in Company |
![]() |
12:58 | WisdomTree Hedged Metal Secs Ltd | Issue of WisdomTree Hedged Metal Secs Limited |
![]() |
|
12:57 | J O Hambro Capital Management Ld | Letter of Intent - SDL PLC |
![]() |
|
12:56 | LWDB | Law Debenture Corp PLC | Net Asset Value(s) |
![]() |
12:56 | WisdomTree Hedged Commodity Secs Ld | Issue of WisdomTree Hedged Commodity Secs Limited |
![]() |
|
12:55 | BGSC | BMO Global Smaller Companies PLC | Net Asset Value(s) |
![]() |
12:55 | WisdomTree Foreign Exchange Limited | Issue of WisdomTree Foreign Exchange Limited |
![]() |
|
12:55 | FCIT | F&C Investment Trust PLC | Net Asset Value(s) |
![]() |
12:55 | BCI | BMO Capital & Income Inv Tst PLC | Net Asset Value(s) |
![]() |
12:55 | BHI | BMO UK High Income Trust PLC | Net Asset Value(s) |
![]() |
12:55 | BMPG | BMO Managed Portfolio Trust PLC | Net Asset Value(s) |
![]() |
12:55 | WisdomTree Commodity Securities Ltd | Issue of WisdomTree Commodity Securities Limited |
![]() |
|
12:55 | BMPI | BMO Managed Portfolio Trust - BMPI | Net Asset Value(s) |
![]() |
12:55 | EAT | European Assets Trust PLC | Net Asset Value(s) |
![]() |
12:55 | J O Hambro Capital Management Ld | Form 8.3 - SDL PLC |
![]() |
|
12:54 | GPM | Golden Prospect Precious Metals Ltd | Net Asset Value(s) |
![]() |
12:52 | J.P. Morgan Securities LLC | Willis Towers Watson plc 8.3 |
![]() |
|
12:52 | PSON | Pearson PLC | Update on Resolution 10 - 2020 AGM vote |
![]() |
12:52 | J.P. Morgan Securities LLC | Aon plc 8.3 |
![]() |
|
12:51 | Aberdeen Investment Trusts | Net Asset Value(s) |
![]() |
|
12:49 | 16ER | YES Bank Limited | Disclosure under Indian Listing Regulations |
![]() |
12:45 | USA | Baillie Gifford US Growth Trust PLC | Net Asset Value(s) |
![]() |
12:44 | HRI | Herald Investment Trust PLC | Net Asset Value |
![]() |
12:43 | BMO Asset Management Inv Trusts | Net Asset Value(s) |
![]() |
|
12:42 | THR | Thor Mining PLC | Holding(s) in Company |
![]() |
12:41 | SAIN | Scottish American Investment Co PLC | Net Asset Value(s) |
![]() |
12:40 | EMG | Man Group plc | Holding(s) in Company |
![]() |
12:40 | BMS | Braemar Shipping Services PLC | Holding(s) in Company |
![]() |
12:39 | JGGI | JPMorgan Global Growth & Income PLC | Transaction in Own Shares - Issuance from Treasury |
![]() |
12:35 | SMT | Scottish Mortgage Inv Tst PLC | Net Asset Value(s) |
![]() |
12:35 | NAVF | Nippon Active Value Fund PLC | Net Asset Value(s) |
![]() |
12:33 | UEM | Utilico Emerging Markets Trust PLC | Net Asset Value(s) |
![]() |
12:33 | EWI | Edinburgh Worldwide Inv Trust PLC | Net Asset Value(s) |
![]() |
12:33 | MNKS | Monks Investment Trust PLC | Net Asset Value(s) |
![]() |
12:30 | CCJI | CC Japan Income & Growth Trust PLC | Net Asset Value(s) |
![]() |
12:26 | M&G Investment Management Ltd | Form 8.3 - G4S Plc |
![]() |
|
12:23 | 76ZY | Akademiska Hus AB | Publication of Suppl.Prospcts |
![]() |
12:22 | GRG | Greggs PLC | Holding(s) in Company |
![]() |
12:21 | Legal & General UCITS ETF PLC | Net Asset Value(s) |
![]() |
|
12:20 | SST | Scottish Oriental Smlr Co Tst PLC | Net Asset Value(s) |
![]() |
12:16 | UD08 | UBS (IRL) FS CMCI EX AGRI HDG GBP | Net Asset Value(s) |
![]() |
12:16 | UD06 | UBS (IRL) FS BB COMM CMCI HDG TOGBP | Net Asset Value(s) |
![]() |
12:16 | SIGT | Seneca Global Income & Growth PLC | Net Asset Value(s) |
![]() |
12:16 | BUT | Brunner Investment Trust PLC | Net Asset Value(s) |
![]() |
12:16 | MRCH | Merchants Trust PLC | Net Asset Value(s) |
![]() |
12:16 | ATT | Allianz Technology Trust PLC | Net Asset Value(s) |
![]() |
12:15 | HOT | Henderson Opportunities Trust PLC | Net Asset Value(s) |
![]() |
12:15 | HHI | Henderson High Income Trust PLC | Net Asset Value(s) |
![]() |
12:15 | CNA | Centrica PLC | Holding(s) in Company |
![]() |
12:15 | TRG | TR European Growth Trust PLC | Net Asset Value(s) |
![]() |
12:15 | HNE | Henderson Eurotrust PLC | Net Asset Value(s) |
![]() |
12:15 | HINT | Henderson Intl. Income Trust PLC | Net Asset Value(s) |
![]() |
12:15 | UC14 | UBS (IRL) FS PLC - CMCI Comp SF US | Net Asset Value(s) |
![]() |
12:15 | UC90 | UBS (IRL) FS CMCI Comp GBP A-ACC | Net Asset Value(s) |
![]() |
12:15 | CXAU | UBS (IRL) FS CMCI Ex-Agri USD $ | Net Asset Value(s) |
![]() |
12:14 | Allianz Global Inv GmbH UK Brch | Net Asset Value(s) |
![]() |
|
12:14 | HEFT | Henderson European Focus Trust PLC | Net Asset Value(s) |
![]() |
12:14 | LWI | Lowland Investment Co PLC | Net Asset Value(s) |
![]() |
12:14 | CTY | City of London Investment Trust PLC | Net Asset Value(s) |
![]() |
12:14 | HSL | Henderson Smaller Cos Inv Tst PLC | Net Asset Value(s) |
![]() |
12:13 | TCAP | TP ICAP PLC | Holding(s) in Company |
![]() |
12:13 | JEMI | JPMorgan Glb Emerging Mkts Inc Tst | Final Results to 31st July 2020 |
![]() |
12:12 | BNKR | Bankers Investment Trust PLC | Net Asset Value(s) |
![]() |
12:11 | HFEL | Henderson Far East Income Limited | Net Asset Value(s) |
![]() |
12:11 | UBS Irish ETFS | Net Asset Value(s) |
![]() |
|
12:11 | Henderson Investment Funds Limited | Net Asset Value(s) |
![]() |
|
12:09 | HDIV | Henderson Diversified Income TstPLC | Net Asset Value(s) |
![]() |
12:03 | RSG | Resolute Mining Limited | Appendix 3Z JOHN WELBORN |
![]() |
12:03 | VSL | VPC Specialty Lending Invest. PLC | Holding(s) in Company |
![]() |
12:01 | LKOD | PJSC LukOil | Director/PDMR Shareholding |
![]() |
12:01 | IRSH | Morgan Stanley & Co. Int'l plc | Form 8.5 (EPT/RI) - Replacement of G4S PLC |
![]() |
12:00 | RUR | Rurelec PLC | Partial Debt Repayment |
![]() |
12:00 | Peel Hunt LLP | Form 8.5 (EPT/RI) - AA PLC |
![]() |
|
12:00 | GFTU | Grafton Group PLC | Holding(s) in Company |
![]() |
12:00 | N91 | Ninety One PLC | Holding(s) in Company |
![]() |
12:00 | LKOD | PJSC LukOil | Director/PDMR Shareholding |
![]() |
12:00 | FIF | Finsbury Food Group PLC | Executive LTIP - PDMR Dealings |
![]() |
12:00 | PZC | PZ CUSSONS PLC | Publication of Annual Report / Notice of AGM |
![]() |
11:59 | Credit Suisse Securities (Eur) Ltd | Post Stabilisation Notice-Deutsche Pfandbrief AG |
![]() |
|
11:58 | ATS | Artemis Alpha Trust PLC | Net Asset Value(s) |
![]() |
11:57 | PNL | Personal Assets Trust PLC | Net Asset Value(s) |
![]() |
11:57 | MWY | Mid Wynd Intnl Inv Trust PLC | Net Asset Value(s) |
![]() |
11:56 | Credit Suisse Securities (Eur) Ltd | Form 38.5a - Willis Towers Watson plc |
![]() |
|
11:55 | Capital Group Companies Inc | Form 8.3 - Aon plc |
![]() |
|
11:54 | Credit Suisse Securities (Eur) Ltd | Form 38.5a - Aon plc |
![]() |
|
11:52 | Credit Suisse Securities (Eur) Ltd | Form 8.5 (EPT/NON-RI) - William Hill plc |
![]() |
|
11:50 | Lazard Asset Management | Form 8.3 - AON plc |
![]() |
|
11:50 | 55AN | PRS Finance PLC | Sale of Retained Bonds |
![]() |
11:50 | NOG | Nostrum Oil & Gas PLC | Signing of Forbearance Agreement |
![]() |
11:48 | Credit Suisse Securities (Eur) Ltd | Form 8.5 (EPT/RI) - William Hill plc |
![]() |
|
11:47 | EGL | Ecofin Global Utilities Inf Tst PLC | Net Asset Value(s) |
![]() |
11:45 | Credit Suisse Securities (Eur) Ltd | Form 8.5 (EPT/NON-RI) - G4S plc |
![]() |
|
11:45 | IBT | Intl. Biotechnology Trust PLC | Net Asset Value(s) |
![]() |
11:44 | Credit Suisse Securities (Eur) Ltd | Form 8.5 (EPT/RI) - AA plc |
![]() |
|
11:44 | Irish Takeover Panel | Disclosure Table |
![]() |
|
11:44 | Credit Suisse Securities (Eur) Ltd | Form 8.5 (EPT/RI) - G4S plc |
![]() |
|
11:42 | GCP | GCP Infrastructure Investments Ltd | Dividend Declaration & Scrip Dividend Alternative |
![]() |
11:41 | PCGH | Polar Capital Global Health Tst PLC | Net Asset Value(s) |
![]() |
11:41 | GLR | Galileo Resources PLC | Holding(s) in Company |
![]() |
11:41 | SCP | Schroder UK Mid Cap Fund PLC | Net Asset Value(s) |
![]() |
11:41 | PCFT | Polar Capital Global Financials Tst | Net Asset Value(s) |
![]() |
11:40 | PCT | Polar Capital Technology Trust PLC | Net Asset Value(s) |
![]() |
11:40 | SOI | Schroder Oriental Income Fund Ltd | Net Asset Value(s) |
![]() |
11:40 | Credit Suisse Capital LLC | Form 38.5b - Willis Towers Watson plc |
![]() |
|
11:38 | Credit Suisse Capital LLC | Form 38.5b - Aon plc |
![]() |
|
11:38 | Credit Suisse Securities (USA) LLC | Form 38.5b - Willis Towers Watson plc |
![]() |
|
11:38 | SJG | Schroder Japan Growth Fund PLC | Net Asset Value(s) |
![]() |
11:37 | AA. | AA PLC | AA Intermediate Co Limited Interim H1 21 Results |
![]() |
11:36 | SCF | Schroder Income Growth Fund PLC | Net Asset Value(s) |
![]() |
11:36 | MAJE | Majedie Investments PLC | Net Asset Value(s) |
![]() |
11:35 | SDP | Schroder AsiaPacific Fund PLC | Net Asset Value(s) |
![]() |
11:35 | Credit Suisse Securities (USA) LLC | Form 38.5b - Aon plc |
![]() |
|
11:33 | BMN | Bushveld Minerals Limited | Exchange Control Approval for Orion Transaction |
![]() |
11:33 | ATR | Schroder Asian Total Retn InvCo PLC | Net Asset Value(s) |
![]() |
11:32 | COS | Collagen Solutions PLC | Result of AGM |
![]() |
11:29 | Credit Suisse Securities (USA) LLC | Form 8.5 (EPT/NON-RI) - G4S plc |
![]() |
|
11:29 | BGUK | Baillie Gifford UK Growth Fund PLC | Net Asset Value(s) |
![]() |
11:29 | IIT | Independent Investment Trust PLC | Net Asset Value(s) |
![]() |
11:27 | BGCG | Baillie Gifford China Grwth TrstPLC | Net Asset Value(s) |
![]() |
11:26 | BGEU | Baillie Gifford European Grw Ts PLC | Net Asset Value(s) |
![]() |
11:25 | LIO | Liontrust Asset Management PLC | Form 8.3 - Frenkel Topping Group PLC |
![]() |
11:25 | RM. | RM PLC | Holding(s) in Company |
![]() |
11:24 | PHI | Pacific Horizon Investment Tst PLC | Net Asset Value(s) |
![]() |
11:24 | Goldman Sachs & Co. LLC | Form 38.5(b) - Willis Towers Watson PLC |
![]() |
|
11:24 | BGS | Baillie Gifford Shin Nippon PLC | Net Asset Value(s) |
![]() |
11:24 | GoldmanSachs International | Form 38.5(a) - AON PLC |
![]() |
|
11:23 | GoldmanSachs International | Form 38.5(b) - AON PLC |
![]() |
|
11:23 | Goldman Sachs & Co. LLC | Form 38.5(b) - AON PLC |
![]() |
|
11:23 | BGFD | Baillie Gifford Japan Trust PLC | Net Asset Value(s) |
![]() |
11:23 | GoldmanSachs International | Form 38.5(b) - Willis Towers Watson PLC |
![]() |
|
11:23 | GSS | Genesis Emerging Markets Fund Ld | Net Asset Value(s) |
![]() |
11:22 | GoldmanSachs International | Form 8.5 (EPT/RI) |
![]() |
|
11:22 | Goldman Sachs & Co. LLC | Form 8.1(a) - AON PLC |
![]() |
|
11:22 | Folio Investments, Inc. | Form 8.1(a) - AON PLC |
![]() |
|
11:22 | GoldmanSachs International | Form 8.5 (EPT/RI) |
![]() |
|
11:21 | UBS AG (EPT) | Form 8.5 (EPT/RI) - G4S plc |
![]() |
|
11:21 | Bank of America Merrill Lynch | Form 38.5 (b) - Willis Towers Watson PLC |
![]() |
|
11:20 | UBS AG (EPT) | Form 8.5 (EPT/RI) - Eurasia Mining plc |
![]() |
|
11:18 | Allied Universal Security Srvcs LLC | Form 8 (OPD) |
![]() |
|
11:17 | SHG | Shanta Gold Limited | Fundraising Update |
![]() |
11:16 | UBS AG (EPT) | Form 8.5 (EPT/RI) - G4S plc Replacement |
![]() |
|
11:15 | SXS | Spectris PLC | Holding(s) in Company |
![]() |
11:11 | Wheaton Precious Metals | Wheaton Precious Metals Publication of Prospectus |
![]() |
|
11:10 | Morgan Stanley & Co. LLC | Form 8.5 (EPT/RI) - G4S PLC |
![]() |
|
11:09 | JUS | Jupiter US Smaller Companies PLC | Net Asset Value(s) |
![]() |
11:08 | JGC | Jupiter Green Investment Trust Plc | Net Asset Value(s) |
![]() |
11:07 | IRSH | Morgan Stanley & Co. Int'l plc | Form 8.5 (EPT/RI) - G4S PLC |
![]() |
11:07 | JEFI | Jupiter Emerging & Frontier Inc.Tst | Net Asset Value(s) |
![]() |
11:07 | JUKG | Jupiter UK Growth Inv Trust PLC | Net Asset Value(s) |
![]() |
11:05 | EMH | European Metals Holdings Limited | Issue of Equity |
![]() |
11:05 | SYS | SysGroup PLC | Second Price Monitoring Extn |
![]() |
11:05 | TLOU | Tlou Energy Ltd | Second Price Monitoring Extn |
![]() |
11:04 | SMP | St. Modwen Properties PLC | Additional Listing |
![]() |
11:00 | ETLN | Etalon Group PLC | Result of Annual General Meeting |
![]() |
11:00 | SYS | SysGroup PLC | Price Monitoring Extension |
![]() |
11:00 | TLOU | Tlou Energy Ltd | Price Monitoring Extension |
![]() |
11:00 | IMB | Imperial Brands PLC | Holding(s) in Company |
![]() |
10:59 | MINT | PIMCO $ Short Maturity Src UCITS IN | Net Asset Value(s) |
![]() |
10:59 | QUID | PIMCO Short Maturity Src UCITS IN | Net Asset Value(s) |
![]() |
10:59 | EMLB | PIMCO EM ADV Local Bnd Src UCITS AC | Net Asset Value(s) |
![]() |
10:59 | STHY | PIMCO Sht Term HY Corp Bnd Src$ IN | Net Asset Value(s) |
![]() |
10:59 | STHE | PIMCO Sht Term HY Corp Bnd SrcE IN | Net Asset Value(s) |
![]() |
10:59 | EMLI | PIMCO EM Adv Loc Bond Src UCITS$ IN | Net Asset Value(s) |
![]() |
10:59 | LDCU | PIMCO Low Dur US Corp Bond SRC IN | Net Asset Value(s) |
![]() |
10:59 | STYC | PIMCO Sht Term HY Corp Bnd ETF AC | Net Asset Value(s) |
![]() |
10:59 | STHS | PIMCO Sht Term HY Corp Bnd Hdg IN | Net Asset Value(s) |
![]() |
10:59 | STEA | PIMCO Shrt HYCorp Bd hdg A EUR AC | Net Asset Value(s) |
![]() |
10:59 | MIST | PIMCO US Shrt Maturity UCITS GBP AC | Net Asset Value(s) |
![]() |
10:57 | Bank of America Merrill Lynch | Form 38.5 (b) - Willis Towers Watson PLC |
![]() |
|
10:56 | Bank of America Merrill Lynch | Form 38.5 (b) - Aon PLC |
![]() |
|
10:56 | Bank of America Merrill Lynch | Form 38.5 (b) - Aon PLC |
![]() |
|
10:56 | PIMCO ETFs PLC | Net Asset Value(s) |
![]() |
|
10:55 | Bank of America Merrill Lynch | Form 38.5 (b) - Aon PLC |
![]() |
|
10:55 | KraneShares ICAV | KraneShares ICAV 22.10.20 |
![]() |
|
10:54 | KESG | KraneS MSCI China ESG Leaders UCITS | KraneShares MSCI China ESG Ldrs UCITS ETF 22.10.20 |
![]() |
10:53 | CHG | Chemring Group PLC | Holding(s) in Company |
![]() |
10:53 | SLA | Standard Life Aberdeen plc | Form 8.3 - William Hill plc |
![]() |
10:52 | KBA | KraneS MSCI China A Shr UCITS ETF-$ | KraneShares MSCI China A Share UCITS ETF 22.10.20 |
![]() |
10:52 | Bank of America Merrill Lynch | Form 8.5 (EPT/RI) |
![]() |
|
10:52 | Bank of America Merrill Lynch | Form 8.5 (EPT/NON-RI) |
![]() |
|
10:51 | KWBP | KraneS CSI China Internet UCITS GBP | KraneSharesCSIChinaInternet UCITS ETF GBP 22.10.20 |
![]() |
10:51 | OGN | Origin Enterprises Plc | Posting of 2020 Annual Report and Notice of AGM |
![]() |
10:50 | VNH | VietNam Holding Limited | Estimated Daily Net Asset Value |
![]() |
10:49 | HMI | Harvest Minerals Limited | Holding(s) in Company |
![]() |
10:49 | TEM | Templeton Emerging Markets IT PLC | Market Abuse Regulation Article 19 Paragraph 11 |
![]() |
10:48 | KWBE | KraneS CSI China Internet UCITS Eur | KraneSharesCSIChinaInternet UCITS ETF EUR 22.10.20 |
![]() |
10:45 | KBND | KraneS Bloomberg CH Bond Inc UCITS$ | KraneShares BBG Bclys CC Bd Inc UCITS ETF 22.10.20 |
![]() |
10:44 | CKN | Clarkson PLC | Additional Listing |
![]() |
10:44 | KWEB | KraneS CSI China Internet | KraneShares CSI China Internet UCITS ETF 22.10.20 |
![]() |
10:42 | TTG | TT Electronics PLC | Holding(s) in Company |
![]() |
10:41 | GCP | GCP Infrastructure Investments Ltd | Dividend Declaration & Script Dividend Alternative |
![]() |
10:33 | MJH | MJ Hudson Group PLC | Issue of Equity |
![]() |
10:30 | Office of Communications | Ofcom: Statement of Objections - Motorola & Sepura |
![]() |
|
10:28 | JCGI | JPMorgan China Growth & Income PLC | Net Asset Value(s) |
![]() |
10:28 | JII | JPMorgan Indian Invest Trust PLC | Net Asset Value(s) |
![]() |
10:28 | JAGI | JPMorgan Asia Growth & Income PLC | Net Asset Value(s) |
![]() |
10:28 | SYS | SysGroup PLC | Holding(s) in Company |
![]() |
10:28 | JPE | JPMorgan Elect PLC | Net Asset Value(s) |
![]() |
10:28 | JEO | European Opportunities Trust PLC | Net Asset Value(s) |
![]() |
10:28 | JPS | JPMorgan Japan Smaller Co Tst PLC | Net Asset Value(s) |
![]() |
10:28 | JRS | JPMorgan Russian Securities PLC | Net Asset Value(s) |
![]() |
10:28 | JPB | JPMorgan Brazil Investment Trust | Net Asset Value(s) |
![]() |
10:28 | JEMI | JPMorgan Glb Emerging Mkts Inc Tst | Net Asset Value(s) |
![]() |
10:28 | MATE | JPMorgan Multi-Asset Trust plc | Net Asset Value(s) |
![]() |
10:27 | TIGT | Troy Income & Growth Trust Plc | Net Asset Value(s) |
![]() |
10:27 | OXB | Oxford Biomedica PLC | Director Purchase |
![]() |
10:27 | JMI | JPMorgan Smaller Cos IT PLC | Net Asset Value(s) |
![]() |
10:27 | JMG | JPMorgan Emerging Mkts Invest Trust | Net Asset Value(s) |
![]() |
10:26 | JETG | JPMorgan European Invest Tst PLC | Net Asset Value(s) |
![]() |
10:26 | JESC | JPMorgan European Smaller Co. | Net Asset Value(s) |
![]() |
10:25 | JAM | JPMorgan American IT PLC | Net Asset Value(s) |
![]() |
10:25 | JCH | JPMorgan Claverhouse IT PLC | Net Asset Value(s) |
![]() |
10:25 | JMF | JPMorgan Mid Cap Invest Trust PLC | Net Asset Value(s) |
![]() |
10:25 | JUSC | JPMorgan US Smaller Co. IT | Net Asset Value(s) |
![]() |
10:25 | JFJ | JPMorgan Japanese Inv. Trust PLC | Net Asset Value(s) |
![]() |
10:25 | MRC | Mercantile Investment Trust(The)PLC | Net Asset Value(s) |
![]() |
10:25 | JGGI | JPMorgan Global Growth & Income PLC | Net Asset Value(s) |
![]() |
10:24 | JAR | Jardine Matheson Hldgs Ltd | Proposed Share Buyback Programme |
![]() |
10:23 | MKUW | IVZ MSCI Kuwait UCITS ETF $ | Net Asset Value(s) |
![]() |
10:23 | MXUD | IVZ MSCI USA UCITS DIST $ | Net Asset Value(s) |
![]() |
10:23 | XREP | IVZ Real Est US Sector UCITS | Net Asset Value(s) |
![]() |
10:23 | SPXE | IVZ S&P 500 ESG UCITS ETF $ | Net Asset Value(s) |
![]() |
10:23 | SPEP | IVZ S&P 500 ESG UCITS ETF | Net Asset Value(s) |
![]() |
10:23 | G500 | IVZ S&P 500 UCITS HDG | Net Asset Value(s) |
![]() |
10:22 | XRES | IVZ Real Est SP US Sel Sec ETF$ | Net Asset Value(s) |
![]() |
10:22 | SMEU | IVZ MSCI Europe UCITS ETF $ | Net Asset Value(s) |
![]() |
10:22 | CMOD | IVZ Bloomberg Commodity UCITS | Net Asset Value(s) |
![]() |
10:22 | FTEK | IVZ KBW Nsdq Fintech UCITS ETF$ | Net Asset Value(s) |
![]() |
10:22 | CMOP | IVZ Bloomberg Commodity UCITS | Net Asset Value(s) |
![]() |
10:22 | MXUK | IVZ MSCI Europe Ex-UK UCITS ETF | Net Asset Value(s) |
![]() |
10:22 | MSAU | IVZ MSCi Saudi Arabia UCITS $ | Net Asset Value(s) |
![]() |
10:22 | MSAP | IVZ MSCI Saudi Arabia UCITS | Net Asset Value(s) |
![]() |
10:22 | EFIM | IVZ GS Eqty Fctr EM UCITS $ | Net Asset Value(s) |
![]() |
10:22 | EFEP | IVZ GS Eqty Fctr EM UCITS | Net Asset Value(s) |
![]() |
10:22 | XLCS | IVZ Comm US Sec UCITS ETF $ | Net Asset Value(s) |
![]() |
10:22 | GYS | Gamesys Group PLC | Director/PDMR Shareholding |
![]() |
10:22 | XLCP | IVZ Comm US Sec UCITS ETF | Net Asset Value(s) |
![]() |
10:22 | USML | IVZ S&P Smallcap 600 UCITS ETF | Net Asset Value(s) |
![]() |
10:21 | SX5S | IVZ Euro STOXX 50 UCITS ETF | Net Asset Value(s) |
![]() |
10:21 | XLEP | IVZ Energy S&P US Sector UCITS | Net Asset Value(s) |
![]() |
10:21 | S600 | IVZ STOXX EUR 600 UCITS ETF | Net Asset Value(s) |
![]() |
10:21 | XLYP | IVZ Cons Disc S&P US Sec UCITS | Net Asset Value(s) |
![]() |
10:21 | XLPP | IVZ Cons Stap S&P US SctrUCITS | Net Asset Value(s) |
![]() |
10:21 | MXEU | IVZ MSCI Europe UCITS ETF | Net Asset Value(s) |
![]() |
10:21 | N400 | IVZ JPX - Nikkei 400 UCITS ETF$ | Net Asset Value(s) |
![]() |
10:21 | S400 | IVZ JPX - Nikkei 400 UCITS ETF | Net Asset Value(s) |
![]() |
10:21 | 0H7D | Deutsche Bank AG | Form 8.5 (EPT/RI) - TalkTalk Telecom Group Plc |
![]() |
10:21 | S7XP | IVZ Euro STOXX OPT Banks UCITS | Net Asset Value(s) |
![]() |
10:21 | SBIO | IVZ Nasdaq Biotech UCITS ETF$ | Net Asset Value(s) |
![]() |
10:21 | EFIE | IVZ Goldman Sachs EFI Eur UCITS | Net Asset Value(s) |
![]() |
10:21 | N4US | IVZ Nikkei 400 UCITS ETF Hedgd$ | Net Asset Value(s) |
![]() |
10:21 | MXFP | IVZ MSCI Emerging Mkts UCITS | Net Asset Value(s) |
![]() |
10:20 | EFIS | IVZ Goldman Sachs EFIWrldUCITS | Net Asset Value(s) |
![]() |
10:20 | XLVP | IVZ Health CareS&PUS SctrUCITS | Net Asset Value(s) |
![]() |
10:20 | X7PP | IVZ STOXX EUR600 Opt Bks UCITS | Net Asset Value(s) |
![]() |
10:20 | XLIP | IVZ Industria S&P US SctrUCITS | Net Asset Value(s) |
![]() |
10:20 | XLBP | IVZ Materials S&P US SctrUCITS | Net Asset Value(s) |
![]() |
10:20 | SPXP | IVZ S&P 500 UCITS | Net Asset Value(s) |
![]() |
10:20 | MXWS | IVZ MSCI World UCITS | Net Asset Value(s) |
![]() |
10:20 | XLUP | IVZ Utilities S&P US SctrUCITS | Net Asset Value(s) |
![]() |
10:19 | JPMorgan Investment Trusts | Net Asset Value(s) |
![]() |
|
10:18 | MXJP | IVZ MSCI Japan UCITS $ | Net Asset Value(s) |
![]() |
10:18 | LGCF | IVZ Commodity Comp UCITS | Net Asset Value(s) |
![]() |
10:18 | LGCU | IVZ Commodity Comp UCITS $ | Net Asset Value(s) |
![]() |
10:18 | MLPS | IVZ Morn* US Enrg Infra MLP A | Net Asset Value(s) |
![]() |
10:18 | MLPD | IVZ Morn* US Enrg Infra MLP B | Net Asset Value(s) |
![]() |
10:18 | XLFQ | IVZ Financial S&P US SctrUCITS | Net Asset Value(s) |
![]() |
10:18 | MLPP | IVZ Mornstar US Enrg InfMLP A | Net Asset Value(s) |
![]() |
10:18 | MLPQ | IVZ Mornstar US Enrg InfMLP B | Net Asset Value(s) |
![]() |
10:18 | XLKQ | IVZ Technology S&P USSctrUCITS | Net Asset Value(s) |
![]() |
10:18 | EFIW | IVZ Goldman Sachs EFIWrldUCITS$ | Net Asset Value(s) |
![]() |
10:18 | 0H7D | Deutsche Bank AG | Form 8.5 (EPT/RI) - William Hill Plc |
![]() |
10:17 | XLVS | IVZ Health CareS&PUS SctrUCITS | Net Asset Value(s) |
![]() |
10:17 | XLIS | IVZ Industri S&P US Sctr UCITS$ | Net Asset Value(s) |
![]() |
10:17 | XLBS | IVZ Materials S&P US SctrUCITS$ | Net Asset Value(s) |
![]() |
10:17 | XLKS | IVZ Technology S&P USSctrUCITS$ | Net Asset Value(s) |
![]() |
10:17 | XLUS | IVZ Utilities S&P US SctrUCITS$ | Net Asset Value(s) |
![]() |
10:17 | RDXS | IVZ RDX UCITS $ | Net Asset Value(s) |
![]() |
10:17 | MXFS | IVZ MSCI Emerging Mkts UCITS $ | Net Asset Value(s) |
![]() |
10:17 | SPXS | IVZ S&P 500 UCITS $ | Net Asset Value(s) |
![]() |
10:17 | MXUS | IVZ MSCI USA UCITS $ | Net Asset Value(s) |
![]() |
10:17 | IGG | IG Group Holdings plc | Response to ASIC Announcement |
![]() |
10:17 | X7PS | IVZ STOXX EUR600 Opt BksUCITS E | Net Asset Value(s) |
![]() |
10:17 | MXWO | IVZ MSCI World UCITS $ | Net Asset Value(s) |
![]() |
10:17 | RTYS | IVZ Russell 2000 UCITS $ | Net Asset Value(s) |
![]() |
10:16 | S100 | IVZ FTSE 100 UCITS ETF | Net Asset Value(s) |
![]() |
10:16 | S250 | IVZ FTSE 250 UCITS ETF | Net Asset Value(s) |
![]() |
10:16 | XLES | IVZ Energy S&P US Sector UCITS$ | Net Asset Value(s) |
![]() |
10:16 | XLYS | IVZ Cons Disc S&P US Sec UCITS$ | Net Asset Value(s) |
![]() |
10:16 | XLPS | IVZ ConsStap S&P US Sctr UCITS$ | Net Asset Value(s) |
![]() |
10:16 | THAL | Thalassa Holdings Limited | Correction: Holding(s) in Company |
![]() |
10:16 | XLFS | IVZ Financial S&P US SctrUCITS$ | Net Asset Value(s) |
![]() |
10:15 | SOHO | Triple Point Social Housing REIT | Holding(s) in Company |
![]() |
10:14 | TEM | Templeton Emerging Markets IT PLC | Net Asset Value(s) |
![]() |
10:13 | DRX | Drax Group PLC | Holding(s) in Company |
![]() |
10:12 | XGDU | Xtrackers ETC PLC | Publication of Final Terms |
![]() |
10:11 | XGDU | Xtrackers ETC PLC | Publication of Final Terms |
![]() |
10:07 | BBH | BB Healthcare Trust PLC | Net Asset Value(s) |
![]() |
10:06 | JPMorgan Securities Plc | Form 8.5 (EPT/RI) - AA plc |
![]() |
|
10:06 | 48BM | Alandsbanken ABP | 3rd Quarter Results |
![]() |
10:06 | JPMorgan Securities Plc | Form 8.5 (EPT/RI) - G4S plc |
![]() |
|
10:06 | BGX | EXPAT Bulgaria SOFIX UCITS ETF | Net Asset Value(s) |
![]() |
10:06 | JPMorgan Securities Plc | Form 8.5 (EPT/RI) - Hastings Group Holdings plc |
![]() |
|
10:05 | Expat Asset Management EAD | Net Asset Value(s) |
![]() |
|
10:04 | NXKU | Nomura Nikkei 225 USD Hdg UCITS | Net Asset Value(s) |
![]() |
10:04 | NJXE | Nomura JPXNIKKEI400 NETTR D-EUR E | Net Asset Value(s) |
![]() |
10:04 | NJXU | Nomura JPXNIKKEI400 NETTR D-USD $ | Net Asset Value(s) |
![]() |
10:03 | NXKE | Nomura Nikkei 225 Eur Hdg UCITS | Net Asset Value(s) |
![]() |
10:03 | Invesco Markets PLC | Net Asset Value(s) |
![]() |
|
10:02 | VSL | VPC Specialty Lending Invest. PLC | 2020 Annual General Meeting - Update Statement |
![]() |
10:02 | GST | GSTechnologies Ltd | Notice of AGM |
![]() |
10:00 | LIO | Liontrust Asset Management PLC | Director/PDMR Shareholding |
![]() |
10:00 | MNG | M&G PLC | Holding(s) in Company |
![]() |
10:00 | Nomura Next Funds Ireland PLC | Net Asset Value(s) |
![]() |
|
09:58 | IRSH | Societe Generale SA | Form 8.3 - G4S plc |
![]() |
09:56 | IRSH | Societe Generale SA | Form 8.3 - AA plc |
![]() |
09:48 | FSJ | Fisher (James) & Sons plc | Director/PDMR Shareholding |
![]() |
09:47 | DPLM | Diploma PLC | Holding(s) in Company |
![]() |
09:43 | MKS | Marks & Spencer Group PLC | Holding(s) in Company |
![]() |
09:42 | PLUS | Plus500 Limited | Response to ASIC Announcement |
![]() |
09:42 | DSCV | discoverIE Group plc | Holding(s) in Company |
![]() |
09:39 | VSL | VPC Specialty Lending Invest. PLC | Refreshing and Strengthening Board Independence |
![]() |
09:39 | BGX | EXPAT Bulgaria SOFIX UCITS ETF | Net Asset Value(s) |
![]() |
09:38 | Expat Asset Management EAD | Net Asset Value(s) |
![]() |
|
09:38 | DCC | DCC PLC | Upcoming Events |
![]() |
09:30 | OGN | Origin Enterprises Plc | Holding(s) in Company |
![]() |
09:28 | OGN | Origin Enterprises Plc | Holding(s) in Company |
![]() |
09:26 | TRY | TR Property Investment Trust PLC | Kepler Trust Intelligence: New Research |
![]() |
09:25 | Royal London Asset Management Ltd | Form 8.3 - McCarthy & Stone PLC |
![]() |
|
09:20 | SSgA SPDR ETFs Europe I PLC | Net Asset Value(s) |
![]() |
|
09:17 | CHIP | ICBCCS WT S&P CH 500 ETF | Net Asset Value(s) |
![]() |
09:17 | CHIC | ICBCCS WT S&P CH 500 B $CNY | Net Asset Value(s) |
![]() |
09:16 | TRN | Trainline PLC | Holding(s) in Company |
![]() |
09:16 | CHIN | ICBCCS WT S&P CH 500 ETF $ | Net Asset Value(s) |
![]() |
09:13 | GUN | Gunsynd PLC | New Investment - Empress Royalty Corp. |
![]() |
09:10 | Citigroup Global Markets Limited | Form 8.5 (EPT/RI) |
![]() |
|
09:10 | Berry Street Capital Management LLP | Form 8.3 - Alternative Credit Investments PLC |
![]() |
|
09:10 | ICBC Credit Suisse UCIT ETF SICAV | Net Asset Value(s) |
![]() |
|
09:09 | BGCG | Baillie Gifford China Grwth TrstPLC | Issue of Equity |
![]() |
09:06 | Citigroup Global Markets Limited | Form 8.5 (EPT/RI) |
![]() |
|
09:06 | Jefferies International Limited. | Form 8.5 (EPT/NON-RI) G4s Plc |
![]() |
|
09:05 | TABS | Tabula N.A CDX HY Short ETF $ | Net Asset Value(s) |
![]() |
09:04 | TECS | Tabula EUR ITRAXX Short ETF Class J | Net Asset Value(s) |
![]() |
09:04 | TCEG | Tabula E Perf Cd UCITS ETF H Dist | Net Asset Value(s) |
![]() |
09:04 | TTRX | Tabula EUR ITRAXX IG Bond ETF (EUR) | Net Asset Value(s) |
![]() |
09:04 | Citigroup Global Markets Limited | Form 8.5 (EPT/RI) |
![]() |
|
09:01 | Nplus1 Singer Capital Markets Ltd | Form 8.5 (EPT/RI) |
![]() |
|
09:00 | BRK | Brooks Macdonald Group PLC | Brooks Macdonald welcomes statement by the JFSC |
![]() |
09:00 | Competition and Markets Authority | Merger Update: Crowdcube / Seedrs |
![]() |
|
09:00 | GMP | Gabelli Merger Plus+ Trust PLC | Net Asset Value(s) |
![]() |
09:00 | GVP | Gabelli Value Plus+ Trust PLC | Net Asset Value(s) |
![]() |
09:00 | SEPL | Seplat Petroleum Development Co PLC | Notice of Q3 Financial Results |
![]() |
09:00 | TECC | Tabula EUR ITRAXX Cross ETF Cls J E | Net Asset Value(s) |
![]() |
08:58 | Numis Securities Limited | Form 8.5 (EPT/RI) - RWS Holdings Plc |
![]() |
|
08:58 | Nplus1 Singer Capital Markets Ltd | Form 8.5 (EPT/RI) |
![]() |
|
08:57 | Liberum Capital Limited | Form 8.5 (EPT/RI) |
![]() |
|
08:56 | ENQ | EnQuest PLC | Board Appointment |
![]() |
08:54 | Liberum Capital Limited | Form 8.5 (EPT/RI) |
![]() |
|
08:51 | Nplus1 Singer Capital Markets Ltd | Form 8.5 (EPT/RI) |
![]() |
|
08:48 | TVOU | Tabula JPM GLBL Vol UCITS $ H Dist | Net Asset Value(s) |
![]() |
08:47 | TCEP | Tabula EUR Perf Credit ETF Class J | Net Asset Value(s) |
![]() |
08:47 | TCED | Tabula EUR Perf Credit Class G E | Net Asset Value(s) |
![]() |
08:47 | TVOL | Tabula J.P Morgan Global Credit Vol | Net Asset Value(s) |
![]() |
08:45 | John Hemming | Form 8.3 - Nahl Group plc |
![]() |
|
08:44 | CMCX | CMC Markets Plc | CMC welcomes ASIC consultation paper outcome |
![]() |
08:40 | RR. | Rolls-Royce Holdings plc | Holding(s) in Company |
![]() |
08:38 | HGM | Highland Gold Mining Limited | Holding(s) in Company |
![]() |
08:38 | Tabula ICAV | Net Asset Value(s) |
![]() |
|
08:37 | Tabula ICAV | Net Asset Value(s) |
![]() |
|
08:37 | RR. | Rolls-Royce Holdings plc | Holding(s) in Company |
![]() |
08:32 | ING Bank N.V. London Branch | Issue of Debt - Pre stabilisation Cromwell |
![]() |
|
08:29 | HSUK | HSBC ETFs UK Sustainable Eq ETF | Net Asset Value(s) |
![]() |
08:27 | HSXD | HSBC ETFs APAC Jap Sustainable Eq $ | Net Asset Value(s) |
![]() |
08:27 | HSEM | HSBC ETFs EM Sustainable Eq ETF $ | Net Asset Value(s) |
![]() |
08:25 | HSUD | HSBC ETFs USA Sustainable Equity $ | Net Asset Value(s) |
![]() |
08:25 | HSWD | HSBC ETFs Dev World Sustainable Eq$ | Net Asset Value(s) |
![]() |
08:24 | HSEU | HSBC ETFs Europe Sustainable Eq Eu | Net Asset Value(s) |
![]() |
08:24 | HSJD | HSBC ETFs Japan Sustainable Equity$ | Net Asset Value(s) |
![]() |
08:23 | HWWD | HSBC ETFs Multi Fctr Worldwide EQ $ | Net Asset Value(s) |
![]() |
08:23 | HMCT | HSBC ETFs MSCI China A Incl UCITS $ | Net Asset Value(s) |
![]() |
08:22 | HMEM | HSBC ETFs MSCI Emerging Markets $ | Net Asset Value(s) |
![]() |
08:22 | HMAD | HSBC ETFs MSCI AC FarEastExJapan $ | Net Asset Value(s) |
![]() |
08:21 | HTWD | HSBC ETFs MSCI Taiwan UCITS ETF $ | Net Asset Value(s) |
![]() |
08:21 | HMYD | HSBC ETFs MSCI Malaysia UCITS ETF $ | Net Asset Value(s) |
![]() |
08:21 | HKOD | HSBC ETFs MSCI Korea Capped ETF $ | Net Asset Value(s) |
![]() |
08:21 | HPRD | HSBC ETFs FTSE EPRA/NAREIT Dev $ | Net Asset Value(s) |
![]() |
08:21 | HRUD | HSBC ETFs MSCI Russia Capped ETF $ | Net Asset Value(s) |
![]() |
08:20 | HCAD | HSBC ETFs MSCI Canada UCITS $ | Net Asset Value(s) |
![]() |
08:20 | HMED | HSBC ETFs MSCI MexicoCapped UCITS $ | Net Asset Value(s) |
![]() |
08:20 | HMLD | HSBC ETFs MSCI EM Latin America $ | Net Asset Value(s) |
![]() |
08:20 | HIDD | HSBC ETFs MSCI Indonesia UCITS $ | Net Asset Value(s) |
![]() |
08:19 | HMJD | HSBC ETFs MSCI Japan UCITS ETF $ | Net Asset Value(s) |
![]() |
08:19 | HMUD | HSBC ETFs MSCI USA UCITS ETF $ | Net Asset Value(s) |
![]() |
08:19 | HTRD | HSBC ETFs MSCI Turkey UCITS ETF $ | Net Asset Value(s) |
![]() |
08:19 | HMWD | HSBC ETFs MSCI World UCITS ETF $ | Net Asset Value(s) |
![]() |
08:19 | HMCD | HSBC ETFs MSCI China UCITS $ | Net Asset Value(s) |
![]() |
08:19 | HZAD | HSBC ETFs MSCI South Africa UCITS $ | Net Asset Value(s) |
![]() |
08:17 | HMFD | HSBC ETFs MSCI EM Far East UCITS $ | Net Asset Value(s) |
![]() |
08:16 | ADES | ADES International Holding PLC | Transaction in Own Shares |
![]() |
08:16 | HMEU | HSBC ETFs MSCI Europe UCITS ETF | Net Asset Value(s) |
![]() |
08:16 | HSPD | HSBC ETFs S&P 500 UCITS ETF $ | Net Asset Value(s) |
![]() |
08:16 | HMBR | HSBC ETFs MSCI Brazil UCITS ETF | Net Asset Value(s) |
![]() |
08:16 | HMXD | HSBC ETFs MSCI Pacific exJapan ETF$ | Net Asset Value(s) |
![]() |
08:12 | MDBU | UBS ETF Sust Dev Bank Bonds $ A-DIS | Net Asset Value(s) |
![]() |
08:12 | HMCX | HSBC ETFs FTSE 250 UCITS ETF | Net Asset Value(s) |
![]() |
08:12 | T10G | UBS ETF BBG BAR TIPS 10+ HDG DIS | Net Asset Value(s) |
![]() |
08:12 | MDBG | UBS ETF Sdbb Dis | Net Asset Value(s) |
![]() |
08:12 | EUSR | UBS ETF EMU Sri | Net Asset Value(s) |
![]() |
08:12 | EGOG | UBS ETF GL GOV ESQ LIQ DIS | Net Asset Value(s) |
![]() |
08:11 | JPSR | UBS ETF MSCI JPN SOC JPY A-Dis | Net Asset Value(s) |
![]() |
08:11 | UC97 | UBS ETF BL B US Liq Crp Sust A-DIS$ | Net Asset Value(s) |
![]() |
08:11 | UD02 | UBS ETF Fct M.EMU Lw Vol EUR A-DIS | Net Asset Value(s) |
![]() |
08:11 | UD03 | UBS ETF Fctr EMU Prm Val EUR A-DIS | Net Asset Value(s) |
![]() |
08:11 | UD04 | UBS ETF Fctr EMU Quality EUR A-DIS | Net Asset Value(s) |
![]() |
08:11 | HUKX | HSBC ETFs FTSE 100 UCITS ETF | Net Asset Value(s) |
![]() |
08:11 | SBEM | UBS ETF BLM Barc USD EMMA Sover $ | Net Asset Value(s) |
![]() |
08:11 | SBEG | UBS ETF BLM Barc USD EMMA Sover | Net Asset Value(s) |
![]() |
08:11 | UBTP | UBS ETF BLM B TIPS1-10 HD GBP A-ACC | Net Asset Value(s) |
![]() |
08:11 | UBTL | UBS ETF BLM Barc TIPS 10+ USD A-Dis | Net Asset Value(s) |
![]() |
08:11 | H50E | HSBC ETFs Euro Stoxx 50 UCITS ETF | Net Asset Value(s) |
![]() |
08:11 | UBTS | UBS ETF BLM Barc TIPS1-10 USD A-DIS | Net Asset Value(s) |
![]() |
08:11 | CBSE | UBS ETF B B MSCI EUR AR LIQ C EUR | Net Asset Value(s) |
![]() |
08:11 | EUFM | UBS ETF Emu Sel Fac Mix Eur Acc | Net Asset Value(s) |
![]() |
08:11 | BSUS | UBS ETF BBM US LIQ CORP SUST HDG | Net Asset Value(s) |
![]() |
08:10 | UC85 | UBS ETF BLM Barc US Liq Corp HDG | Net Asset Value(s) |
![]() |
08:10 | UC86 | UBS ETF BLM Bar US Liq Cp 1-5 Adis$ | Net Asset Value(s) |
![]() |
08:10 | UC82 | UBS ETF BLM Brc US Liq Crp 1-5 HDG | Net Asset Value(s) |
![]() |
08:10 | UC87 | UBS ETF MSCI Canada Hdg to A-ACC | Net Asset Value(s) |
![]() |
08:10 | UC94 | UBS ETF MSCI Switzerland Hdg A-Dis | Net Asset Value(s) |
![]() |
08:10 | UC93 | UBS ETF MSCI Switzerland Hdg A-Acc | Net Asset Value(s) |
![]() |
08:09 | SCIR | Scirocco Energy PLC | Completion of Ruvuma Farm-Out by Aminex |
![]() |
08:08 | HSBC ETFs PLC | Net Asset Value(s) |
![]() |
|
08:00 | Official List | Removal - Dubai Electricity and Water Authority |
![]() |
|
08:00 | Official List | Removal - Paragon Mortgages (No.11) PLC |
![]() |
|
08:00 | AIM | AIM Notice - 23/10/2020 |
![]() |
|
08:00 | Official List | Official List Notice |
![]() |
|
08:00 | London Stock Exchange Notice | Admission to ISM - 23/10/2020 |
![]() |
|
08:00 | London Stock Exchange Notice | Cancellation - PARAGON MORTGAGES (NO.11) PLC |
![]() |
|
08:00 | London Stock Exchange Notice | Admission to Trading - 23/10/2020 |
![]() |
|
08:00 | London Stock Exchange Notice | Cancellation - DUBAI ELECTRICITY & WATER AUTHORITY |
![]() |
|
08:00 | WJA | Wameja Limited | Scheme of Arrangement Update |
![]() |
08:00 | IGC | India Capital Growth Fund Limited | Net Asset Value Daily Estimate |
![]() |
08:00 | NRR | NewRiver REIT PLC | Holding(s) in Company |
![]() |
08:00 | CRN | Cairn Homes plc | Holding(s) in Company |
![]() |
08:00 | CRN | Cairn Homes plc | Holding(s) in Company |
![]() |
08:00 | BRU2 | Bruntwood Bond 2 PLC | Update statement on Covid 19 and rent collection |
![]() |
07:59 | UC76 | UBS ETF BLM Barc US Liq Corp A-dis$ | Net Asset Value(s) |
![]() |
07:58 | UC46 | UBS ETF MSCI USA Socily Resp UCITS | Net Asset Value(s) |
![]() |
07:58 | UB00 | UBS ETF Euro Stoxx 50 A-Dis | Net Asset Value(s) |
![]() |
07:58 | UB30 | UBS ETF MSCI Emerging Markets A-Dis | Net Asset Value(s) |
![]() |
07:58 | UC68 | UBS ETF MSCI World UCITS ETF(USD) | Net Asset Value(s) |
![]() |
07:58 | UC64 | UBS ETF MSCI United Kingdom A-ACC | Net Asset Value(s) |
![]() |
07:58 | UC63 | UBS ETF MSCI United Kingdom A-DIS | Net Asset Value(s) |
![]() |
07:58 | UC67 | UBS ETF MSCI USA UCITS (USD) A-dis$ | Net Asset Value(s) |
![]() |
07:58 | UC79 | UBS ETF MSCI EM Soc Resp USD A-Dis$ | Net Asset Value(s) |
![]() |
07:55 | UB45 | UBS ETF MSCI Pacific Soc Resp A | Net Asset Value(s) |
![]() |
07:55 | Nplus1 Singer Capital Markets Ltd | Completion of Placing in Avingtrans plc |
![]() |
|
07:55 | UB69 | UBS ETF MSCI EMU Small Cap (EUR) A | Net Asset Value(s) |
![]() |
07:55 | UB74 | UBS ETF BLM Barc US 1-3 Y Treas Bd | Net Asset Value(s) |
![]() |
07:55 | UB82 | UBS ETF BLM Barc US 7-10 Y Treas Bd | Net Asset Value(s) |
![]() |
07:55 | UB89 | UBS ETF Markit iBOXX EUR Gmny 1-3 | Net Asset Value(s) |
![]() |
07:55 | UB99 | UBS ETF BBG BAR E Liquid Corp Eur | Net Asset Value(s) |
![]() |
07:55 | UC44 | UBS ETF MSCI World Soc Resp A | Net Asset Value(s) |
![]() |
07:49 | GROW | Draper Esprit PLC | Holding(s) in Company |
![]() |
07:49 | UB02 | UBS ETF MSCI Japan (JPY) A-Dis | Net Asset Value(s) |
![]() |
07:49 | UB20 | UBS ETF MSCI Pacific (ex Japan) A | Net Asset Value(s) |
![]() |
07:49 | UB39 | UBS ETF MSCI EMU Socily Resp UCITS | Net Asset Value(s) |
![]() |
07:48 | GROW | Draper Esprit PLC | Holding(s) in Company |
![]() |
07:47 | EMHF | Fundlogic SCIBETA HFE EM Eqty 6F EW | Net Asset Value(s) |
![]() |
07:47 | USHF | Fundlogic SCIBETA HFE US Eqty 6F EW | Net Asset Value(s) |
![]() |
07:47 | USUF | Fundlogic SCIBETA HFI US EQ 6F EW | Net Asset Value(s) |
![]() |
07:46 | EHEF | Fundlogic SCIBETA HFE Eur Eqty6F EW | Net Asset Value(s) |
![]() |
07:45 | Takeover Panel | Disclosure Table (POTAM only) |
![]() |
|
07:45 | USEF | Fundlogic MS US Eqty Fctrs UCITS $ | Net Asset Value(s) |
![]() |
07:45 | GROW | Draper Esprit PLC | Holding(s) in Company |
![]() |
07:45 | PHEF | Fundlogic SCIBETA HFE Pac Ex-Japan | Net Asset Value(s) |
![]() |
07:45 | JHEF | Fundlogic SCIBETA HFE Japan Eqty 6F | Net Asset Value(s) |
![]() |
07:44 | GEF | Fundlogic MS Glbl Eqty Fctrs UCITS$ | Net Asset Value(s) |
![]() |
07:38 | KCT | Kin and Carta PLC | BLOCK LISTING SIX MONTHLY RETURN |
![]() |
07:37 | Fundlogic Alternatives PLC | Net Asset Value(s) |
![]() |
|
07:32 | UB06 | UBS ETF MSCI EMU (EUR) A-Dis | Net Asset Value(s) |
![]() |
07:32 | UB17 | UBS ETF MSCI EMU Value (EUR) A-Dis | Net Asset Value(s) |
![]() |
07:31 | UB03 | UBS ETF FTSE 100 (GBP) A-Dis | Net Asset Value(s) |
![]() |
07:31 | UB23 | UBS ETF MSCI Canada (CAD) A-Dis | Net Asset Value(s) |
![]() |
07:30 | MRC | Mercantile Investment Trust(The)PLC | Half-year Report |
![]() |
07:30 | UBS ETFS Lux | Net Asset Value(s) |
![]() |
|
07:30 | UB12 | UBS ETF MSCI Europe (EUR) A-Dis | Net Asset Value(s) |
![]() |
07:25 | POG | Petropavlovsk PLC | NOTIFICATION OF MAJOR HOLDINGS |
![]() |
07:22 | STJ | St. James's Place PLC | Holding(s) in Company |
![]() |
07:18 | VEIL | Vietnam Enterprise Investments Ltd | Net Asset Value(s) |
![]() |
07:10 | SUJP | iShares IV MSCI JapanSRI UCITS ETF$ | Net Asset Value(s) |
![]() |
07:10 | IUIS | iShares V SP500 Ind Sct UCITS ETF $ | Net Asset Value(s) |
![]() |
07:10 | IUMS | iShares V SP500 Mat Sct UCITS ETF $ | Net Asset Value(s) |
![]() |
07:10 | IUCS | iShares V SP500 Con STPL Sct UCITS$ | Net Asset Value(s) |
![]() |
07:10 | IUUS | iShares V SP500 Uti Sct UCITS ETF $ | Net Asset Value(s) |
![]() |
07:10 | LQDA | iShares PLC $ Corp Bond UCITS ETF$ | Net Asset Value(s) |
![]() |
07:10 | IBTA | iShares PLC $ Tr Bond 1-3 UCITS $ | Net Asset Value(s) |
![]() |
07:10 | JPEA | iShares II JPM $ Emerg Bnd UCITS $ | Net Asset Value(s) |
![]() |
07:10 | IUAA | iShares II US Agg Bond UCITS ETF $ | Net Asset Value(s) |
![]() |
07:10 | IHYA | iShares II $ High Yld Corp Bd $ Acc | Net Asset Value(s) |
![]() |
07:10 | IMBA | iShares IV US Mort Bk Sec UCITS $ A | Net Asset Value(s) |
![]() |
07:10 | SDIA | iShares IV $ Shrt DurCp Bd UCITS $A | Net Asset Value(s) |
![]() |
07:10 | TIP5 | iShares II $ Tips 0-5 UCITS ETF $ | Net Asset Value(s) |
![]() |
07:10 | ICBU | iShares III Intermediate Credit Bd$ | Net Asset Value(s) |
![]() |
07:10 | IWDG | iShares III MSCI World Hdgd DIST | Net Asset Value(s) |
![]() |
07:10 | EUMD | iShares VI Europe MC UCITS ETF E | Net Asset Value(s) |
![]() |
07:10 | EMID | iShares VI MSCI Eur MidCap Eur (D) | Net Asset Value(s) |
![]() |
07:10 | WQDV | iShares II IS World Qlty Div $ | Net Asset Value(s) |
![]() |
07:10 | FLOT | iShares II $ Floating Rte Bd UCITS$ | Net Asset Value(s) |
![]() |
07:10 | ICOM | iShares VI Div Comm SWP UCITS ETF $ | Net Asset Value(s) |
![]() |
07:10 | CRPU | iShares PLC Global Corp Bd HdgdACC$ | Net Asset Value(s) |
![]() |
07:10 | FLOS | iShares II $ Flt Rt Bd GBP Hdg Dist | Net Asset Value(s) |
![]() |
07:10 | IEAA | iShares III Core Euro Corp Bd ACC E | Net Asset Value(s) |
![]() |
07:10 | GILE | iShares III Glbl Inf Lk Gov Bnd Hgd | Net Asset Value(s) |
![]() |
07:10 | DTLE | iShares IV $ Trsry Bd 20+ Yr UCITSE | Net Asset Value(s) |
![]() |
07:10 | LQEE | iShares PLC $ Corp Bd E Hgd (DIST)E | Net Asset Value(s) |
![]() |
07:10 | HIGH | iShares PLC E Hi Yld CpBd UCITSACCE | Net Asset Value(s) |
![]() |
07:10 | SUSW | iShares IV MSCI Wld SRI EUR ACC E | Net Asset Value(s) |
![]() |
07:10 | SUWS | iShares IV MSCI Wld SRI USD ACC $ | Net Asset Value(s) |
![]() |
07:10 | RBOD | iShares IV Auto & Robo UCITS(DIST)$ | Net Asset Value(s) |
![]() |
07:10 | BTEC | iShares IV Nasdaq US Biotec $ | Net Asset Value(s) |
![]() |
07:10 | ISFD | iShares PLC Cor FTSE 100 UCITS $ | Net Asset Value(s) |
![]() |
07:10 | HYLA | iShares PLC GL HYLD Cp Bd USD ACC $ | Net Asset Value(s) |
![]() |
07:10 | IGLA | iShares III GL Govt Bond $ | Net Asset Value(s) |
![]() |
07:10 | HYGU | iShares PLC EUR HY Crp Bd USD-H | Net Asset Value(s) |
![]() |
07:10 | AGGU | iShares III Gbl Agg Bd USD-Hgd ACC$ | Net Asset Value(s) |
![]() |
07:10 | AGGG | iShares III Gbl Agg Bd ETF USDDist$ | Net Asset Value(s) |
![]() |
07:10 | AGBP | iShares III Gbl Agg Bd GBP-Hgd Dst | Net Asset Value(s) |
![]() |
07:10 | IUQD | iShares IV USA Quality ETF $-D | Net Asset Value(s) |
![]() |
07:10 | IUVD | iShares IV USA Value ETF USD DIST | Net Asset Value(s) |
![]() |
07:10 | IUMD | iShares IV USA Momentum ETF $ Dist | Net Asset Value(s) |
![]() |
07:10 | UFSD | iShares IV USA Multifactors ETF USD | Net Asset Value(s) |
![]() |
07:10 | SPMD | iShares VI SP500Min Vol ETF Dist | Net Asset Value(s) |
![]() |
07:10 | IEQD | iShares IV EUR Quality ETF Eur Dist | Net Asset Value(s) |
![]() |
07:10 | IEDL | iShares IV EUR Value ETF EUR Dist | Net Asset Value(s) |
![]() |
07:10 | IEMD | iShares IV EUR Momentum ETFEurDistE | Net Asset Value(s) |
![]() |
07:10 | IFSD | iShares IV Euro Multif ETF EurDistE | Net Asset Value(s) |
![]() |
07:10 | IWVU | iShares IV World Val ETF USD DIST | Net Asset Value(s) |
![]() |
07:10 | MVED | iShares VI EUR Min Vol ETF EurDistE | Net Asset Value(s) |
![]() |
07:10 | ITPG | iShares II $ Tips ETF HDG ACC | Net Asset Value(s) |
![]() |
07:10 | TI5G | iShares II $ Tips 0-5 ETF HDG DIST | Net Asset Value(s) |
![]() |
07:10 | DPYG | iShares II Dev Mkt Ppty Yld Hdg | Net Asset Value(s) |
![]() |
07:10 | DPYE | iShares II Dev Mkt Ppty Yld E Hdg | Net Asset Value(s) |
![]() |
07:10 | IHYE | iShares II $ HY Cp Bd UCITS E HDG D | Net Asset Value(s) |
![]() |
07:10 | BTEE | iShares IV NASDAQ US BTEC UCITS $ | Net Asset Value(s) |
![]() |
07:10 | EIMU | iShares PLC Core MSCI EM IMI $ DIST | Net Asset Value(s) |
![]() |
07:10 | LQGH | iShares PLC $ Corp Bd ETF GBP-H D | Net Asset Value(s) |
![]() |
07:10 | CRHG | iShares PLC GlblCpBd ETF GBP-H D | Net Asset Value(s) |
![]() |
07:10 | FLOA | iShares II $ Float Bond UCITS ETF | Net Asset Value(s) |
![]() |
07:10 | IHHG | iShares II $ HY Corp Bd ET GBP-H D | Net Asset Value(s) |
![]() |
07:10 | EMHG | iShares II JPM $ EM Bond GB-H D | Net Asset Value(s) |
![]() |
07:10 | IEAH | iShares III E Corp Bond UCITS ETF | Net Asset Value(s) |
![]() |
07:10 | IGLH | iShares III Glob Gov Bd ETF GBP-H | Net Asset Value(s) |
![]() |
07:10 | WSML | iShares III MSCI Wld Sml Cap ACC $ | Net Asset Value(s) |
![]() |
07:10 | WNGE | ISH Angels Hy Crp Bond ETF EUR-HD D | Net Asset Value(s) |
![]() |
07:10 | IBTE | ISH $ Tres 1-3Y ETF EUR-H ACC | Net Asset Value(s) |
![]() |
07:10 | IBTG | ISH $ Tres 1-3Y ETF GBP-H DIST | Net Asset Value(s) |
![]() |
07:10 | IUAE | ISH US AGG Bond ETF EUR-H ACC | Net Asset Value(s) |
![]() |
07:10 | IUGA | ISH US AGG Bond ETF GBP-H D | Net Asset Value(s) |
![]() |
07:10 | WIAU | ISH FLN Angels HY CORP Bond ETF USD | Net Asset Value(s) |
![]() |
07:10 | WIGG | ISH FLN Angels HY Corp Bond ETF GBP | Net Asset Value(s) |
![]() |
07:10 | SPEH | iShares V Spain Gvt Bond UCITS ACC$ | Net Asset Value(s) |
![]() |
07:10 | ITEH | iShares V Italy Gov BndUCITS ACC $ | Net Asset Value(s) |
![]() |
07:10 | DPYA | iShares II Dev Mkt Ppty Yld ETF$ | Net Asset Value(s) |
![]() |
07:10 | DTLA | iShares IV $ T Bd 20+Yr ETF USD ACC | Net Asset Value(s) |
![]() |
07:10 | iShares PLC | Net Asset Value(s) |
![]() |
|
07:10 | CRPA | iShares PLC Glb Corp Bnd ETF ACC $ | Net Asset Value(s) |
![]() |
07:10 | EUN | iShares II STOXX Europe 50 DIST | Net Asset Value(s) |
![]() |
07:10 | BNKS | iShares V SP US Banks ETF USD ACC | Net Asset Value(s) |
![]() |
07:10 | EUE | iShares II Euro Stoxx50 UCITS Dist | Net Asset Value(s) |
![]() |
07:10 | NDIA | iShares IV MSCI India UCITS ETFUSD$ | Net Asset Value(s) |
![]() |
07:10 | ISF | iShares PLC Core FTSE 100 DIST | Net Asset Value(s) |
![]() |
07:10 | CEUG | iShares VII MSCI EMU UCITS ETFHG D | Net Asset Value(s) |
![]() |
07:10 | IUSA | iShares PLC S&P 500 UCITS (Dist) | Net Asset Value(s) |
![]() |
07:10 | EMGA | iShares III JPM Loc EM Govt Bd ETF$ | Net Asset Value(s) |
![]() |
07:10 | LQDE | iShares PLC Corporate Bond DIST $ | Net Asset Value(s) |
![]() |
07:10 | IGAA | iShares III E Asia LocalGovt Bd ETF | Net Asset Value(s) |
![]() |
07:10 | IBCX | iShares PLC Euro CrpBd LrgCap DIST | Net Asset Value(s) |
![]() |
07:10 | EMCA | iShares V JPM $EM Corp Bd ETF ACC$ | Net Asset Value(s) |
![]() |
07:10 | MIDD | iShares PLC FTSE 250 DIST GBP | Net Asset Value(s) |
![]() |
07:10 | EFRN | iShares II Eur Flt Rate Bnd UCITS | Net Asset Value(s) |
![]() |
07:10 | SLXX | iShares PLC Core Corp Bond DIST | Net Asset Value(s) |
![]() |
07:10 | SUOE | iShares II Eur CRP BD ESG UCITS ETF | Net Asset Value(s) |
![]() |
07:10 | IJPN | iShares PLC MSCI Japan UCITS Dist | Net Asset Value(s) |
![]() |
07:10 | ERNA | iShares IV $ Ultrashrt Bnd USD ACC$ | Net Asset Value(s) |
![]() |
07:10 | FXC | iShares China Large Cap DIST | Net Asset Value(s) |
![]() |
07:10 | SDHA | iShares IV $ ST Dur Hy Crp Bnd$ | Net Asset Value(s) |
![]() |
07:10 | DJMC | iShares PLC Euro STOXX Mid DIST | Net Asset Value(s) |
![]() |
07:10 | GAAA | iShares VI Glb AAA-AA Govt Bd $ | Net Asset Value(s) |
![]() |
07:10 | DJSC | iShares PLC Euro STOXX Small DIST | Net Asset Value(s) |
![]() |
07:10 | GSPX | iShares VII S&P500 UCITS GBP-H D | Net Asset Value(s) |
![]() |
07:10 | ITWN | iShares PLC MSCI Taiwan ETF DIST | Net Asset Value(s) |
![]() |
07:10 | HLQD | iShares $ Cp Bd Int Rt Hgd USD AC$ | Net Asset Value(s) |
![]() |
07:10 | IWRD | iShares PLC MSCI World UCITS Dist | Net Asset Value(s) |
![]() |
07:10 | LOCK | iShares IV Dgtl Sec UCITS ETF $ | Net Asset Value(s) |
![]() |
07:10 | IFFF | iShares MSCI AC FE X-JP ETF $ DIST | Net Asset Value(s) |
![]() |
07:10 | OPEN | iShares IV TR Inc Div UCITS ETF $ | Net Asset Value(s) |
![]() |
07:10 | IDVY | iShares PLC Euro Dividend DIST GBP | Net Asset Value(s) |
![]() |
07:10 | IUCM | iShares V SP500 Comms UCITS ETF | Net Asset Value(s) |
![]() |
07:10 | IPRP | iShares PLC Euro Property Yield GBP | Net Asset Value(s) |
![]() |
07:10 | EMSA | iShares II JPM ESG $EM Bond ETF-A $ | Net Asset Value(s) |
![]() |
07:10 | IEER | iShares PLC MSCI E.Eur Cap $ DIST | Net Asset Value(s) |
![]() |
07:10 | EMES | iShares II JPM ESG $EM Bond ETF-D $ | Net Asset Value(s) |
![]() |
07:10 | IUKD | iShares PLC UK Dividend GBP (DIST) | Net Asset Value(s) |
![]() |
07:10 | ROLL | iShares VI BBG Roll Sel Swp CMDT $ | Net Asset Value(s) |
![]() |
07:10 | IDJV | iShares PLC Euro Value Large DIST | Net Asset Value(s) |
![]() |
07:10 | SAEM | iShares IV MSCI EM IMI USD-A $ | Net Asset Value(s) |
![]() |
07:10 | IDJG | iShares EURO Growth Lrg DIST | Net Asset Value(s) |
![]() |
07:10 | SEDM | iShares IV MSCI EM IMI USD-D $ | Net Asset Value(s) |
![]() |
07:10 | IEEM | iShares PLC MSCI EM UCITS (Dist) | Net Asset Value(s) |
![]() |
07:10 | SAUM | iShares IV MSCI EMU ESG-GBP-A | Net Asset Value(s) |
![]() |
07:10 | IKOR | iShares PLC MSCI Korea UCITS Dist | Net Asset Value(s) |
![]() |
07:10 | SMUD | iShares IV MSCI EMU ESG-GBP-D | Net Asset Value(s) |
![]() |
07:10 | IBZL | iShares PLC MSCI Brazil UCITS Dist | Net Asset Value(s) |
![]() |
07:10 | SAEU | iShares IV MSCI EU ESG GBP-A | Net Asset Value(s) |
![]() |
07:10 | IAEX | iShares PLC AEX EUR (DIST) GBP | Net Asset Value(s) |
![]() |
07:10 | SDUE | iShares IV MSCI EU ESG GBP-D | Net Asset Value(s) |
![]() |
07:10 | IBCI | iShares PLC Euro I.L GovBd ACC | Net Asset Value(s) |
![]() |
07:10 | SASU | iShares IV MSCI USA ESG USD-A $ | Net Asset Value(s) |
![]() |
07:10 | IEUX | iShares MSCI Euro Ex-UK EUR DIST | Net Asset Value(s) |
![]() |
07:10 | SDUS | iShares IV MSCI USA ESG USD-D $ | Net Asset Value(s) |
![]() |
07:10 | INAA | iShares MSCI N.America USD DIST | Net Asset Value(s) |
![]() |
07:10 | SAWD | iShares IV MSCI WORLD ESG USD-A $ | Net Asset Value(s) |
![]() |
07:10 | IBTS | iShares PLC $ Treasury Bond 1-3 GBP | Net Asset Value(s) |
![]() |
07:10 | SDWD | iShares IV MSCI WORLD ESG USD-D $ | Net Asset Value(s) |
![]() |
07:10 | IBGS | iShares PLC Eur Gv Bd 1-3 EUR DIST | Net Asset Value(s) |
![]() |
07:10 | SAJP | iShares IV MSCI JAP ESG USD-A $ | Net Asset Value(s) |
![]() |
07:10 | IAPD | iShares PLC Asia Pacific Dividend | Net Asset Value(s) |
![]() |
07:10 | SDJP | iShares IV MSCI JAP ESG USD-D $ | Net Asset Value(s) |
![]() |
07:10 | IASP | iShares II Asia Prop Yield DIST | Net Asset Value(s) |
![]() |
07:10 | SHLD | iShares IV DGTL SEC $-D | Net Asset Value(s) |
![]() |
07:10 | IWDP | iShares II DM Property Yield DIST | Net Asset Value(s) |
![]() |
07:10 | EMVL | iShares MSCI EM Value -Acc $ | Net Asset Value(s) |
![]() |
07:10 | INFR | iShares II Global Infra DIST | Net Asset Value(s) |
![]() |
07:10 | SUSU | iShares II $ Crp BD ESG 0-3YR $ | Net Asset Value(s) |
![]() |
07:10 | ITKY | iShares II MSCI Turkey DIST | Net Asset Value(s) |
![]() |
07:10 | IBTU | iShares PLC $ TR BND 0-1YR U-D | Net Asset Value(s) |
![]() |
07:10 | IUSP | iShares II US Property Yield DIST | Net Asset Value(s) |
![]() |
07:10 | ECAR | iShares IV $ Elec V Driv Tech U-A | Net Asset Value(s) |
![]() |
07:10 | INXG | iShares II Index-Linkd Gilts DIST | Net Asset Value(s) |
![]() |
07:10 | IB01 | iShares PLC $ TR BND 0-1YR U-A | Net Asset Value(s) |
![]() |
07:10 | IGLT | iShares IICore UK Gilts UCITS DIST | Net Asset Value(s) |
![]() |
07:10 | WMVG | iShares EDG MSCI Wrd Min VI GBP | Net Asset Value(s) |
![]() |
07:10 | IBTM | iShares II $Trsry Bond 7-10yr DIST | Net Asset Value(s) |
![]() |
07:10 | IGTM | iShares $ TBILLS 7-10Yr GBP Hedged | Net Asset Value(s) |
![]() |
07:10 | IBGL | iShares II Euro Gov Bd 15-30 DIST | Net Asset Value(s) |
![]() |
07:10 | CBUG | iShares VII$TBILLS 3-7YR GBP Hedgd | Net Asset Value(s) |
![]() |
07:10 | IBGX | iShares II Euro Gov Bd 3-5 DIST | Net Asset Value(s) |
![]() |
07:10 | EMUD | iShares MSCI EMU ESG ENH Eur D | Net Asset Value(s) |
![]() |
07:10 | ITPS | iShares II $ TIPS ACC | Net Asset Value(s) |
![]() |
07:10 | EEJD | iShares MSCI JPN ESG ENH USD D $ | Net Asset Value(s) |
![]() |
07:10 | IBGM | iShares II Euro Gov Bd 7-10 DIST | Net Asset Value(s) |
![]() |
07:10 | EEDS | iShares MSCI USA ESG ENH USD D $ | Net Asset Value(s) |
![]() |
07:10 | IPRV | iShares IIListed Pvt Equity DIST | Net Asset Value(s) |
![]() |
07:10 | EEWD | iShares MSCI WRLD ESG ENH USD D $ | Net Asset Value(s) |
![]() |
07:10 | IH2O | iShares II Global Water DIST | Net Asset Value(s) |
![]() |
07:10 | EEUD | iShares MSCI Europe ESG ENH Eur D | Net Asset Value(s) |
![]() |
07:10 | IUKP | iShares II UK Property UCITS DIST | Net Asset Value(s) |
![]() |
07:10 | IKSA | MSCI Saudi Arabia Capped UCITS ETF | Net Asset Value(s) |
![]() |
07:10 | BRIC | iShares II Bric 50 DIST | Net Asset Value(s) |
![]() |
07:10 | GHYG | iShares PLC Ghy Corp Bnd GBP H D | Net Asset Value(s) |
![]() |
07:10 | IMEU | iShares II MSCI Europe UCITS (Dist) | Net Asset Value(s) |
![]() |
07:10 | IKSD | iShares III MSCI SA C $ | Net Asset Value(s) |
![]() |
07:10 | IMIB | iShares II FTSE MIB UCITS (Dist) | Net Asset Value(s) |
![]() |
07:10 | SGSU | iShares II $ CB 0-3 ESG U H D | Net Asset Value(s) |
![]() |
07:10 | INRG | iShares II Global Clean Enrgy DIST | Net Asset Value(s) |
![]() |
07:10 | SUOG | iShares II EU CB ESG GBP Hedged Dis | Net Asset Value(s) |
![]() |
07:10 | WOOD | iShares II GLbl Timber & Frst DIST | Net Asset Value(s) |
![]() |
07:10 | GOVP | iShares PLC $ Tsy Bd UCITS Hdged | Net Asset Value(s) |
![]() |
07:10 | LTAM | iShares II MSCI EM Lat Am UCITS D | Net Asset Value(s) |
![]() |
07:10 | EEDM | iShares IV MSCI EM USG E $ | Net Asset Value(s) |
![]() |
07:10 | ISWD | iShares II MSCI World Islamic DIST | Net Asset Value(s) |
![]() |
07:10 | DHYA | iShares II $HY CB ESG A $ | Net Asset Value(s) |
![]() |
07:10 | ISUS | iShares II MSCI USA Islamic DIST | Net Asset Value(s) |
![]() |
07:10 | EDG2 | iShares IV MSCI EM ESG ACC | Net Asset Value(s) |
![]() |
07:10 | ISDE | iShares II MSCI EM Islamic DIST$ | Net Asset Value(s) |
![]() |
07:10 | EGMW | iShares IV MSCI World ESG ACC | Net Asset Value(s) |
![]() |
07:10 | IEMI | iShares II EM Infrastructure DIST | Net Asset Value(s) |
![]() |
07:10 | IDTG | iShares IV TSY 20+ HG Dist | Net Asset Value(s) |
![]() |
07:10 | IEMB | iShares II J.P. Morgan $EM Bd DIST$ | Net Asset Value(s) |
![]() |
07:10 | UESD | iShares IV U B ESD D | Net Asset Value(s) |
![]() |
07:10 | ISFE | iShares II MSCI AC FE Ex-Jap SC | Net Asset Value(s) |
![]() |
07:10 | MACG | iShares III BLK E MAC HGD | Net Asset Value(s) |
![]() |
07:10 | ISP6 | iShares III S&P Sml Cap 600 UCITS | Net Asset Value(s) |
![]() |
07:10 | MAMG | iShares III BLK MAM | Net Asset Value(s) |
![]() |
07:10 | ISJP | iShares III MSCI Jpn SmlCp UCITS D | Net Asset Value(s) |
![]() |
07:10 | MAGG | iShares III BLK E MAG HGD | Net Asset Value(s) |
![]() |
07:10 | IGIL | iShares III Gbl Infl-Lnk Bd $ ACC | Net Asset Value(s) |
![]() |
07:10 | I500 | iShares VI S&P500 SWAP $A | Net Asset Value(s) |
![]() |
07:10 | IGLO | iShares III Global Government Bd $ | Net Asset Value(s) |
![]() |
07:10 | SGWS | iShares IV SRI E GBH D | Net Asset Value(s) |
![]() |
07:10 | IEAC | iShares III Core Euro Corp Bond E | Net Asset Value(s) |
![]() |
07:10 | IEMS | iShares III EM Sml Cap UCITS $ | Net Asset Value(s) |
![]() |
07:10 | IPXJ | iShares III MSCI Pac Ex-Jpn UCITSD$ | Net Asset Value(s) |
![]() |
07:10 | IGLS | iShares UK Gilts 0-5YR GBP Dist | Net Asset Value(s) |
![]() |
07:10 | IE15 | iShares III Eur Crpt Bd 1-5 EurDist | Net Asset Value(s) |
![]() |
07:10 | ISXF | iShares III Corp Bd Ex-Fin Dist | Net Asset Value(s) |
![]() |
07:10 | SMEA | iShares III MSCI Europe (Acc) GBP | Net Asset Value(s) |
![]() |
07:10 | SWDA | iShares III Core MSCI Wld UCITS Ac | Net Asset Value(s) |
![]() |
07:10 | SEMA | iShares III MSCI Emerg Mkts (Acc) | Net Asset Value(s) |
![]() |
07:10 | SJPA | iShares III Core Japan IMI Acc | Net Asset Value(s) |
![]() |
07:10 | SRSA | iShares III MSCI Sth Africa GBP Acc | Net Asset Value(s) |
![]() |
07:10 | SAUS | iShares III MSCI Australia GBP Acc | Net Asset Value(s) |
![]() |
07:10 | IHYG | iShares Eur High Yield CorpBd EUR | Net Asset Value(s) |
![]() |
07:10 | CUKS | iShares VII MSCI UK Smll Cap (ACC) | Net Asset Value(s) |
![]() |
07:10 | CSUK | iShares VII MSCI UK ACC | Net Asset Value(s) |
![]() |
07:10 | CSUS | iShares VII MSCI USA UCITS ACC $ | Net Asset Value(s) |
![]() |
07:10 | CSJP | iShares VII MSCI Japan UCITS (Acc) | Net Asset Value(s) |
![]() |
07:10 | CUSS | iShares VII MSCI US Smll Cap (ACC)$ | Net Asset Value(s) |
![]() |
07:10 | CEU | iShares VII MSCI EMU ACC EUR | Net Asset Value(s) |
![]() |
07:10 | CEUS | iShares VII MSCI EMU SC (ACC)EUR | Net Asset Value(s) |
![]() |
07:10 | CSRU | iShares VII MSCI Russia ADR/GDR$ | Net Asset Value(s) |
![]() |
07:10 | CBU3 | iShares VII UTB 1-3 UCITS (ACC) $ | Net Asset Value(s) |
![]() |
07:10 | CBU7 | iShares VII UTB 3-7 UCITS (ACC) $ | Net Asset Value(s) |
![]() |
07:10 | CBU0 | iShares VII UTB 7-10 UCITS (ACC) $ | Net Asset Value(s) |
![]() |
07:10 | CBE3 | iShares VII EGB 1-3 UCITS (ACC) E | Net Asset Value(s) |
![]() |
07:10 | CSPX | iShares VII Core S&P 500 UCITS ACC$ | Net Asset Value(s) |
![]() |
07:10 | CSX5 | iShares VII Core EURO STOXX50 ACC E | Net Asset Value(s) |
![]() |
07:10 | CIND | iShares VII DJ Industrial Avrg ACC$ | Net Asset Value(s) |
![]() |
07:10 | CNDX | iShares VII Nasdaq 100 ACC $ | Net Asset Value(s) |
![]() |
07:10 | CUKX | iShares VII FTSE 100 UCITS (Acc) | Net Asset Value(s) |
![]() |
07:10 | CNKY | iShares VII Nikkei 225 JPY ACC | Net Asset Value(s) |
![]() |
07:10 | CPXJ | iShares VII Core MSCIPac exJpn ACC$ | Net Asset Value(s) |
![]() |
07:10 | CSCA | iShares VII MSCI Canada UCITS ACC | Net Asset Value(s) |
![]() |
07:10 | CMXC | iShares VII MSCI Mexico Capped ACC$ | Net Asset Value(s) |
![]() |
07:10 | CSKR | iShares VII MSCI Korea ACC $ | Net Asset Value(s) |
![]() |
07:10 | CEMA | iShares VII MSCI EM Asia ACC $ | Net Asset Value(s) |
![]() |
07:10 | IJPE | iShares V MSCI Japan EUR Hdgd ACC | Net Asset Value(s) |
![]() |
07:10 | IWDE | iShares V MSCI Wrld Eur Hdgd ACC | Net Asset Value(s) |
![]() |
07:10 | IGWD | iShares V MSCI Wrld GBP Hdgd ACC | Net Asset Value(s) |
![]() |
07:10 | IUSE | iShares V S&P500 EUR Hdgd ACC | Net Asset Value(s) |
![]() |
07:10 | IGUS | iShares V S&P500 GBP Hdgd ACC | Net Asset Value(s) |
![]() |
07:10 | SPOL | iShares V MSCI Poland ACC GBP | Net Asset Value(s) |
![]() |
07:10 | IESG | iShares II MSCI Eur SRI UCITS Acc | Net Asset Value(s) |
![]() |
07:10 | IGSG | iShares II DJ Global SustScrn Acc | Net Asset Value(s) |
![]() |
07:10 | IS15 | iShares Corporate Bond 1-5Yr GBP | Net Asset Value(s) |
![]() |
07:10 | SPDM | iShares Physical Metals Palladium | Net Asset Value(s) |
![]() |
07:10 | SSLN | iShares Physical Metals Silver | Net Asset Value(s) |
![]() |
07:10 | SPLT | iShares Physical Metals Platinum | Net Asset Value(s) |
![]() |
07:10 | SGLN | iShares Physical Metals Gold | Net Asset Value(s) |
![]() |
07:10 | SEML | iShares III EM Local Gov Bd Dist | Net Asset Value(s) |
![]() |
07:10 | SUAG | iShares II US Aggregate Bond Dist | Net Asset Value(s) |
![]() |
07:10 | SHYU | iShares II $ High Yld Corp Bd Dis | Net Asset Value(s) |
![]() |
07:10 | SPAG | iShares V Agribusiness ACC | Net Asset Value(s) |
![]() |
07:10 | SPOG | iShares V Oil & Gas Exp & Prod ACC | Net Asset Value(s) |
![]() |
07:10 | SPGP | iShares V Gold Producers ACC | Net Asset Value(s) |
![]() |
07:10 | SSAC | iShares V MSCI ACWI (ACC) | Net Asset Value(s) |
![]() |
07:10 | SEDY | iShares V DJ EM Dividend (DIST) | Net Asset Value(s) |
![]() |
07:10 | IGEA | iShares III EM Asia Local Gov Bd $ | Net Asset Value(s) |
![]() |
07:10 | EMCR | iShares V $ EMS Corp Bnd (DIST) $ | Net Asset Value(s) |
![]() |
07:10 | IFRB | iShares V France Gov Bnd EUR (DIST) | Net Asset Value(s) |
![]() |
07:10 | IJPH | iShares V MSCI Japan GBP Hdgd Acc | Net Asset Value(s) |
![]() |
07:10 | CORP | iShares PLC Global Corporate Bond $ | Net Asset Value(s) |
![]() |
07:10 | IAAA | iShares VI Glbl AAA-AA Gov Bnd$Dist | Net Asset Value(s) |
![]() |
07:10 | IRCP | iShares V ECorp Bd IR Hdgd EUR DIST | Net Asset Value(s) |
![]() |
07:10 | IGHY | iShares PLC Global High Yield Bnd | Net Asset Value(s) |
![]() |
07:10 | EMV | iShares VI Edge MSCI EM Min VolAcc | Net Asset Value(s) |
![]() |
07:10 | IMV | iShares VI E MSCI Eur Min Vol ACC | Net Asset Value(s) |
![]() |
07:10 | MINV | iShares VI Edge MSCI Wld Min VolAc | Net Asset Value(s) |
![]() |
07:10 | MVUS | iShares VI Edge S&P500 Min Vol ACC | Net Asset Value(s) |
![]() |
07:10 | GHYS | iShares VI Glbl HY Crp Bd UCITS Dst | Net Asset Value(s) |
![]() |
07:10 | EMBE | iShares VI JPM $ EM Bd EUR Hdgd Dst | Net Asset Value(s) |
![]() |
07:10 | LQDH | iShares PLC $ Corp Bd IntRate Hdg E | Net Asset Value(s) |
![]() |
07:10 | IJPD | iShares PLC MSCI Japan $ Hdg ACC | Net Asset Value(s) |
![]() |
07:10 | ERND | iShares IV $ Ultrashrt Bnd USD DIST | Net Asset Value(s) |
![]() |
07:10 | SDHY | iShares IV $ Short Drtn HYCrp DIST$ | Net Asset Value(s) |
![]() |
07:10 | ERNS | iShares IV Ultrashrt Bnd GBP DIST | Net Asset Value(s) |
![]() |
07:10 | ERNE | iShares IV EURO Ultrsht Bd EUR DIST | Net Asset Value(s) |
![]() |
07:10 | SDIG | iShares IV $ Short Drtn Cp Bd DIST$ | Net Asset Value(s) |
![]() |
07:10 | EMIM | iShares PLC Core EM IMI UCITS ACC | Net Asset Value(s) |
![]() |
07:10 | HDIQ | iShares II MSCI USA Qlty Div Dist | Net Asset Value(s) |
![]() |
07:10 | CEMG | iShares V MSCI EM Consmr Grwth $Acc | Net Asset Value(s) |
![]() |
07:10 | ISFR | iShares IV MSCI Frnc UCITS ETF ACC | Net Asset Value(s) |
![]() |
07:10 | IWFQ | iShares IV Edg MSCI Wld Qt Fct ACC | Net Asset Value(s) |
![]() |
07:10 | IWFS | iShares IV Edge MSCI Wld Sze Fctr | Net Asset Value(s) |
![]() |
07:10 | IWFM | iShares IV Edg MSCI Wld Mtm Ft ACC | Net Asset Value(s) |
![]() |
07:10 | IWFV | iShares IV Edg MSCI Wld Vl Fct ACC | Net Asset Value(s) |
![]() |
07:10 | IEFQ | iShares IV Edge MSCI Eur Qty Fctr | Net Asset Value(s) |
![]() |
07:10 | IEFM | iShares IV Edge MSCI Eur Mntm Fctr | Net Asset Value(s) |
![]() |
07:10 | IEFV | iShares IV Edge MSCI Eur Val Fctr | Net Asset Value(s) |
![]() |
07:10 | IEFS | iShares IV Edge MSCI Eur Size Fctr | Net Asset Value(s) |
![]() |
07:10 | IBTL | iShares IV Tsry Bd UCITS ETF DIST | Net Asset Value(s) |
![]() |
07:10 | BACK | iShares IV US Eqty Bbck Achvrs $Acc | Net Asset Value(s) |
![]() |
07:10 | UKRE | iShares III MSCI Target UK RealEst | Net Asset Value(s) |
![]() |
07:10 | EUXS | iShares MSCI Europe ex-UK Hdgd DIST | Net Asset Value(s) |
![]() |
07:10 | IASH | iShares IV MSCI China A UCITS ACC | Net Asset Value(s) |
![]() |
07:10 | EMUU | iShares VII MSCI EMU $ Hdgd UCITS $ | Net Asset Value(s) |
![]() |
07:10 | IFSU | iShares IV Edge MSCI USA UCITS ACC$ | Net Asset Value(s) |
![]() |
07:10 | IFSW | iShares IV Edge MSCI World ACC $ | Net Asset Value(s) |
![]() |
07:10 | IFSE | iShares IV Edge MSCI Eurp Multi ACC | Net Asset Value(s) |
![]() |
07:10 | IUCD | iShares V S&P 500 Con Dis Sec $ Acc | Net Asset Value(s) |
![]() |
07:10 | IUES | iShares V S&P 500 Energy Sec $ Acc | Net Asset Value(s) |
![]() |
07:10 | IUFS | iShares V S&P 500 Fin Sector $ Acc | Net Asset Value(s) |
![]() |
07:10 | IUIT | iShares V S&P 500 Info Tech Sc $Acc | Net Asset Value(s) |
![]() |
07:10 | IUHC | iShares V S&P 500 Hlth Care Sec$Acc | Net Asset Value(s) |
![]() |
07:10 | TASE | iShares IV TA-35 ISRAEL UCITS ACC $ | Net Asset Value(s) |
![]() |
07:10 | IMBS | iShares IV US Mortgage Bkd SecDIST$ | Net Asset Value(s) |
![]() |
07:10 | WING | iShares IV Fallen Angels HY CB DIS$ | Net Asset Value(s) |
![]() |
07:10 | SUAS | iShares IV MSCI USASRI UCITS ACC $ | Net Asset Value(s) |
![]() |
07:10 | SUSM | iShares IV MSCI EM SRI UCITS ACC $ | Net Asset Value(s) |
![]() |
07:10 | RBOT | iShares IV Auto & Robo UCITS ACC $ | Net Asset Value(s) |
![]() |
07:10 | AGED | iShares IV Age Pop UCITS ACC $ | Net Asset Value(s) |
![]() |
07:10 | HEAL | iShares IV Health Inn UCITS ACC $ | Net Asset Value(s) |
![]() |
07:10 | DGTL | iShares IV DigitalisationUCITS ACC$ | Net Asset Value(s) |
![]() |
07:10 | IUSZ | iShares IV Edge MSCI USA Size Fct $ | Net Asset Value(s) |
![]() |
07:10 | IUQA | iShares IV Edge MSCI USA Qlty Fct $ | Net Asset Value(s) |
![]() |
07:10 | IUVL | iShares IV Edge MSCI USA Vlu Fct $ | Net Asset Value(s) |
![]() |
07:10 | IUMO | iShares IV Edge MSCI USA Mmntm Fct$ | Net Asset Value(s) |
![]() |
07:10 | OMXS | iShares IV OMX Stockholm Cap UCITS | Net Asset Value(s) |
![]() |
07:09 | JPMorgan ETFs (Ireland) ICAV | Net Asset Value(s) |
![]() |
|
07:05 | 71ZU | Scotland Gas Networks PLC | Consent Solicitation Launch Announcement |
![]() |
07:02 | ITM | ITM Power PLC | Grants under Long Term Incentive Plan |
![]() |
07:02 | 12FC | Southern Gas Networks PLC | Consent Solicitation Launch Announcement |
![]() |
07:01 | VDCA | Vanguard $ Corp 1-3 Year Bd UCITS $ | Net Asset Value(s) |
![]() |
07:01 | ACI | Alternative Credit Investments PLC | Transaction in Own Shares and Total Voting Rights |
![]() |
07:01 | ACI | Alternative Credit Investments PLC | Rule 2.9 Announcement |
![]() |
07:01 | VDPA | Vanguard USD Corp Bd UCITS ETF $ | Net Asset Value(s) |
![]() |
07:01 | VECA | Vanguard Eur Corp Bd UCITS ETF | Net Asset Value(s) |
![]() |
07:01 | VDTA | Vanguard USD Treasury Bd UCITS ETF$ | Net Asset Value(s) |
![]() |
07:01 | VGVA | Vanguard U.K Gilt UCITS ETF | Net Asset Value(s) |
![]() |
07:01 | VUKG | Vanguard FTSE 100 UCITS ETF | Net Asset Value(s) |
![]() |
07:01 | VMIG | Vanguard FTSE 250 UCITS ETF | Net Asset Value(s) |
![]() |
07:01 | VUAA | Vanguard S&P 500 UCITS ETF$ | Net Asset Value(s) |
![]() |
07:01 | VAGS | Vanguard Glbl Aggregate B.U - VAGS | Net Asset Value(s) |
![]() |
07:01 | VAGU | Vanguard Glbl Agregat BD UCITS ETF$ | Net Asset Value(s) |
![]() |
07:01 | VAGP | Vanguard Glbl Aggregate B.U -VAGP | Net Asset Value(s) |
![]() |
07:01 | VERE | Vanguard FTSE Dev Eur Ex UK-VERE $ | Net Asset Value(s) |
![]() |
07:01 | VWRA | Vanguard FTSE All-World - VWRA $ | Net Asset Value(s) |
![]() |
07:01 | VNRA | Vanguard FTSE North Amr - VNRA $ | Net Asset Value(s) |
![]() |
07:01 | VWCG | Vanguard FTSE Developed Eur - VWCG$ | Net Asset Value(s) |
![]() |
07:01 | 15AV | Nordea Bank Abp | Third quarter results 2020 |
![]() |
07:01 | VJPA | Vanguard FTSE Japan UCITS - VJPA$ | Net Asset Value(s) |
![]() |
07:01 | VHVE | Vanguard FTSE Dev World - VHVE$ | Net Asset Value(s) |
![]() |
07:01 | VAPU | Vanguard FTSE Dev AsiaPac VAPU$ | Net Asset Value(s) |
![]() |
07:01 | VHYA | Vanguard FTSE All-World UCITS VHYA$ | Net Asset Value(s) |
![]() |
07:01 | VFEA | Vanguard FTSE Emrgng Mkts VFEA$ | Net Asset Value(s) |
![]() |
07:01 | VJPU | Vanguard FTSE Japan UCITS ETF$ | Net Asset Value(s) |
![]() |
07:00 | SNOX | SulNOx Group PLC | Board Changes and Suspension of Trading of Shares |
![]() |
07:00 | Vanguard Funds PLC | Net Asset Value(s) |
![]() |
|
07:00 | IGAS | Igas Energy PLC | Grant of Awards Under the MRP |
![]() |
07:00 | AUTO | Auto Trader Group plc | Notice of Half Year Results |
![]() |
07:00 | MVI | Marwyn Value Investors Limited | Notice of AGM |
![]() |
07:00 | STOB | Stobart Group Limited | Notice of Results |
![]() |
07:00 | CPX | CAP-XX Limited | Notice of Results |
![]() |
07:00 | Sebastian Brunner Communications | Successful Sale of Wirecard North America |
![]() |
|
07:00 | YGEN | Yourgene Health PLC | CQC accreditation |
![]() |
07:00 | BARK | Barkby Group PLC (The) | Cambridge Sleep Sciences Ltd launches 'SleepHub' |
![]() |
07:00 | GSLC | GS ActiveBeta U.S. Large Cap Equity | Net Asset Value(s) |
![]() |
07:00 | FUSD | Fidelity US Qual Inc UCITS USD Inc$ | Net Asset Value(s) |
![]() |
07:00 | GSEM | GS Activebeta EME ETF USD ACC | Net Asset Value(s) |
![]() |
07:00 | FUSA | Fidelity US Qual Inc UCITS USD ACC$ | Net Asset Value(s) |
![]() |
07:00 | VUKE | Vanguard FTSE 100 UCITS ETF | Net Asset Value(s) |
![]() |
07:00 | FGQI | Fidelity Global Qual Inc USD Inc $ | Net Asset Value(s) |
![]() |
07:00 | VUSD | Vanguard S&P 500 UCITS ETF $ | Net Asset Value(s) |
![]() |
07:00 | FEMI | Fidelity EM Quality Income $ ACC | Net Asset Value(s) |
![]() |
07:00 | VWRD | Vanguard FTSE All-World UCITS ETF $ | Net Asset Value(s) |
![]() |
07:00 | FEQD | Fidelity EU Quality Income ACC | Net Asset Value(s) |
![]() |
07:00 | VDEM | Vanguard FTSE Emrgng Mkts UCITSETF$ | Net Asset Value(s) |
![]() |
07:00 | FUSP | Fidelity US Qual Inc UCITS GBPACCH | Net Asset Value(s) |
![]() |
07:00 | VGOV | Vanguard UK Gilt UCITS ETF GBP | Net Asset Value(s) |
![]() |
07:00 | FEQP | Fidelity EU Quality Inc ACC Hed | Net Asset Value(s) |
![]() |
07:00 | VDJP | Vanguard FTSE Japan UCITS ETF USD | Net Asset Value(s) |
![]() |
07:00 | FGQP | Fidelity Global Qual Inc GBPACCHed | Net Asset Value(s) |
![]() |
07:00 | VHYD | Vanguard FTSE Wrld HI Div Yld USD | Net Asset Value(s) |
![]() |
07:00 | FEUI | Fidelity Eur Qual Income UCITS | Net Asset Value(s) |
![]() |
07:00 | VDPX | Vanguard FTSE Dev AsiaPac XJPN USD | Net Asset Value(s) |
![]() |
07:00 | FEME | Fidelity EM Qual Inc ETF $ | Net Asset Value(s) |
![]() |
07:00 | VEUR | Vanguard FTSE Developed Europe GBP | Net Asset Value(s) |
![]() |
07:00 | VMID | Vanguard FTSE 250 UCITS ETF | Net Asset Value(s) |
![]() |
07:00 | VERX | Vanguard FTSE Dev Eur UCITS ETF | Net Asset Value(s) |
![]() |
07:00 | VDEV | Vanguard FTSE Dev World UCITS ETF $ | Net Asset Value(s) |
![]() |
07:00 | VDNR | Vanguard FTSE North Amr UCITS ETF $ | Net Asset Value(s) |
![]() |
07:00 | VDMV | Vanguard Glbl Min Vol UCITS ETF $ | Net Asset Value(s) |
![]() |
07:00 | VDVA | Vanguard Glbl Val Fctr UCITS ETF $ | Net Asset Value(s) |
![]() |
07:00 | VDMO | Vanguard Glbl Mmntm Fctr UCITS ETF$ | Net Asset Value(s) |
![]() |
07:00 | VDLQ | Vanguard Glbl Liq Fctr UCITS ETF $ | Net Asset Value(s) |
![]() |
07:00 | VECP | Vanguard Eur Corp Bnd UCITS ETF | Net Asset Value(s) |
![]() |
07:00 | VETY | Vanguard Eur Eurzn Gov UCITS ETF | Net Asset Value(s) |
![]() |
07:00 | VDCP | Vanguard USD Corp Bnd UCITS ETF $ | Net Asset Value(s) |
![]() |
07:00 | VDTY | Vanguard USD Trsry Bnd UCITS ETF $ | Net Asset Value(s) |
![]() |
07:00 | VDET | Vanguard USD EM Govt Bnd UCITS ETF$ | Net Asset Value(s) |
![]() |
07:00 | VDUC | Vanguard $ Corp 1-3 YR Bd UCITS ETF | Net Asset Value(s) |
![]() |
07:00 | VGER | Vanguard Germany All Cap Ucits ETF | Net Asset Value(s) |
![]() |
07:00 | VDEA | Vanguard $Emg Mkts Gov Bd UCITS $ | Net Asset Value(s) |
![]() |
07:00 | 42BI | Inter-American Development Bank | Issue of Debt |
![]() |
07:00 | 42BI | Inter-American Development Bank | Issue of Debt |
![]() |
07:00 | 40HT | National Australia Bank Ld | Items impacting NAB's 2H20 Results |
![]() |
07:00 | AVAP | Avation PLC | UNAUDITED FINANCIAL RESULTS FOR YEAR ENDED 30 JUNE |