Scottish Inv Trust

(SCIN)
Sector: Closed End Investments
895.00p
0.00p 0.00
Last updated: 05:33:16

Company News Headlines

Date Time Headline Source
05/09/2022 08:00 Cancellation - SCOTTISH INVESTMENT TRUST PLC RNS
31/08/2022 17:30 Scottish Investment Trust RNS
31/08/2022 15:35 Scheme Entitlements and Secured Bond Substitution RNS
31/08/2022 11:52 Result of Second General Meeting RNS
31/08/2022 10:45 Net Asset Value(s) RNS
30/08/2022 14:39 Gearing Announcement RNS
30/08/2022 13:38 Net Asset Value(s) RNS
26/08/2022 11:08 Net Asset Value(s) RNS
25/08/2022 10:41 Net Asset Value(s) RNS
24/08/2022 10:23 Net Asset Value(s) RNS
23/08/2022 11:05 Net Asset Value(s) RNS
22/08/2022 13:03 Result of General Meeting RNS
22/08/2022 11:52 Gearing Announcement RNS
22/08/2022 10:49 Net Asset Value(s) RNS
19/08/2022 10:56 Net Asset Value(s) RNS
18/08/2022 10:56 Net Asset Value(s) RNS
17/08/2022 11:06 Net Asset Value(s) RNS
16/08/2022 10:44 Net Asset Value(s) RNS
15/08/2022 17:30 Scottish Investment Trust PLC RNS
15/08/2022 11:32 Gearing announcement RNS
15/08/2022 10:40 Net Asset Value(s) RNS
12/08/2022 16:09 Ten Largest Investments RNS
12/08/2022 10:51 Net Asset Value(s) RNS
11/08/2022 10:21 Net Asset Value(s) RNS
10/08/2022 10:32 Net Asset Value(s) RNS
09/08/2022 10:08 Net Asset Value(s) RNS
08/08/2022 11:14 Gearing announcement RNS
08/08/2022 10:49 Net Asset Value(s) RNS
05/08/2022 15:52 Pre-liquidation Interim Dividend Declaration RNS
05/08/2022 15:25 Publication of Circular RNS
05/08/2022 10:47 Net Asset Value(s) RNS
04/08/2022 10:03 Net Asset Value(s) RNS
03/08/2022 09:55 Net Asset Value(s) RNS
02/08/2022 10:54 Net Asset Value(s) RNS
01/08/2022 12:06 Gearing announcement RNS
01/08/2022 11:01 Net Asset Value(s) RNS
29/07/2022 10:43 Results of Bondholder Meeting RNS
29/07/2022 10:39 Net Asset Value(s) RNS
28/07/2022 10:28 Net Asset Value(s) RNS
27/07/2022 10:49 Net Asset Value(s) RNS
26/07/2022 10:35 Net Asset Value(s) RNS
26/07/2022 08:00 Bondholder Instruction Fee Deadline Extension RNS
25/07/2022 11:54 Gearing Announcement RNS
25/07/2022 10:58 Net Asset Value(s) RNS
22/07/2022 10:41 Net Asset Value(s) RNS
21/07/2022 10:26 Net Asset Value(s) RNS
20/07/2022 10:42 Net Asset Value(s) RNS
19/07/2022 10:24 Net Asset Value(s) RNS
18/07/2022 11:15 Gearing Announcement RNS
18/07/2022 10:40 Net Asset Value(s) RNS