BRIEF published on 10/31/2024 at 14:15, 1 year 3 months ago New Star Investment Trust PLC: Dividend Declaration Annual General Meeting Shareholders Dividend Approval Ordinary Share
BRIEF published on 10/31/2024 at 14:15, 1 year 3 months ago New Star Investment Trust PLC : Déclaration de dividendes Actionnaires Dividende Assemblée Générale Annuelle Approbation Action Ordinaire
BRIEF published on 10/31/2024 at 14:11, 1 year 3 months ago New Star Investment Trust PLC Reports Financial Results for 2024 Financial Results Dividend Announcement Capital Return Share Performance Total Return
BRIEF published on 10/31/2024 at 14:11, 1 year 3 months ago New Star Investment Trust PLC publie ses résultats financiers pour 2024 Résultats Financiers Rendement Du Capital Performance Des Actions Rendement Total Annonce De Dividendes
PRESS RELEASE published on 10/31/2024 at 14:10, 1 year 3 months ago New Star Investment Trust PLC: Dividend Declaration New Star Investment Trust PLC declares a final dividend of 1.70p per Ordinary Share for the year ended 30 June 2024, pending shareholder approval at the AGM on 5 December 2024 Annual General Meeting Ordinary Shares Dividend Declaration Shareholder Approval New Star Investment Trust PLC
PRESS RELEASE published on 10/31/2024 at 14:06, 1 year 3 months ago New Star Investment Trust PLC: Final Results New Star Investment Trust PLC (NSI) announces unaudited results for the year ended 30th June 2024, with net assets of £137.861, achieving long-term capital growth New Star Investment Trust PLC NSI Results Capital Growth 30th June 2024
BRIEF published on 10/09/2024 at 16:12, 1 year 3 months ago New Star Investment Trust PLC Reports Net Asset Values Net Asset Value Financial Disclosure Investment Trust New Star Investment Brompton Management
BRIEF published on 10/09/2024 at 16:12, 1 year 3 months ago New Star Investment Trust PLC publie sa valeur nette d'inventaire Fonds D'investissement Divulgation Financière Valeur Nette D'inventaire Nouvel Investissement Star Gestion De Brompton
PRESS RELEASE published on 10/09/2024 at 16:07, 1 year 3 months ago New Star Investment Trust PLC: Net Asset Value(s) New Star Investment Trust PLC announces unaudited Net Asset Values per Ordinary share managed by Brompton Asset Management Limited on 30 September 2024 New Star Investment Trust PLC Net Asset Values Brompton Asset Management Limited Investment Trust 30 September 2024
BRIEF published on 09/10/2024 at 12:16, 1 year 4 months ago New Star Investment Trust PLC Announces August 2024 NAV Investment NAV New Star Investment Trust Apex Fund Administration Brompton Asset Management
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