Edinburgh Investment Trust PLC ORD 25P (EB06)

 

Latest News

How our 2017/18 investment trust tips are faring

While some tipped trusts have bucked the past quarter's stagnant markets, one has fallen short and is being replaced. Fiona...

Net Asset Value(s)

The Edinburgh Investment Trust Plc As at close of business on 22-November-2017 NAV per Ordinary share (unaudited) with Debt at Par EXCLUDING undistributed current year revenue 750.04p INCLUDING current year revenue 764.63p NAV per Ordinary share (unaudited) with Debt at Fair Value EXCLUDING undistributed current year revenue 736.36p INC...

Net Asset Value(s)

Net Asset Values for investment trust companies managed by Invesco Fund Managers Limited --- The Edinburgh Investment Trust Plc As at close of business on 22-November-2017 NAV per Ordinary share (unaudited) with Debt at Par EXCLUDING undistributed current year revenue 750.04p INCLUDING current year revenue 764.63p NAV per Ordinary share (u...

Half-year Report

The Edinburgh Investment Trust plc Half-Yearly Financial Report Six Months to 30 September 2017 Investment Objective The Edinburgh Investment Trust plc is an investment trust whose investment objective is to invest primarily in UK securities with the long term objective of achieving: 1. an increase of the Net Asset Value per share in excess of the growth in the ...

All News

DateHeadlineSource
23-11-17How our 2017/18 investment trust tips are faringInteractive Investor
23-11-17Net Asset Value(s)RNS
23-11-17Net Asset Value(s)RNS
23-11-17Half-year ReportRNS
22-11-17Net Asset Value(s)RNS
22-11-17Net Asset Value(s)RNS
21-11-17Net Asset Value(s)RNS
20-11-17Net Asset Value(s)RNS
20-11-17Net Asset Value(s)RNS
17-11-17How our adventurous and cautious trust tips have fared in 2017Interactive Investor
17-11-17Net Asset Value(s)RNS
17-11-17Net Asset Value(s)RNS
16-11-17Net Asset Value(s)RNS
16-11-17Net Asset Value(s)RNS
15-11-17Net Asset Value(s)RNS
15-11-17Net Asset Value(s)RNS
14-11-17Net Asset Value(s)RNS
14-11-17Net Asset Value(s)RNS
13-11-17Net Asset Value(s)RNS
13-11-17Net Asset Value(s)RNS
10-11-17Net Asset Value(s)RNS
09-11-17Net Asset Value(s)RNS
09-11-17Net Asset Value(s)RNS
08-11-17Net Asset Value(s)RNS
08-11-17Net Asset Value(s)RNS
07-11-17Edinburgh IT declares interim diviStockMarketWire
07-11-17Net Asset Value(s)RNS
07-11-17Net Asset Value(s)RNS
07-11-17Dividend DeclarationRNS
06-11-17Net Asset Value(s)RNS
06-11-17Net Asset Value(s)RNS
03-11-17Net Asset Value(s)RNS
03-11-17Net Asset Value(s)RNS
02-11-17Director DeclarationRNS
02-11-17Net Asset Value(s)RNS
02-11-17Net Asset Value(s)RNS
01-11-17Portfolio UpdateRNS
01-11-17Net Asset Value(s)RNS
31-10-17Net Asset Value(s)RNS
31-10-17Net Asset Value(s)RNS

Join interactive investor

  • £22.50 fixed quarterly charge includes £22.50 in trading credits
  • £10 per trade or £6 for frequent traders
  • No % platform fees
  • £1 per trade for regular investment or dividend reinvestment

Open an account