Less Ads, More Data, More Tools Register for FREE

Pin to quick picksAlliance Trust Regulatory News (ATST)

  • There is currently no data for ATST

Alliance Trust PLC - Dividend Declaration

21 Apr 2022 07:50

Alliance Trust PLC - Dividend Declaration

Dividend Declaration

Alliance Trust PLC announces the declaration of a first interim dividend for the year ending 31 December 2022 of 6.0 pence per share payable on 30 June 2022 to shareholders on the register on 6 June 2022. The ex-dividend date is 1 June 2022.

Enquiries: Alliance Trust PLC Telephone: 01382 938320

Fiona HarrisSarah Gibbons-CookQuill PR020 7466 5050

Date   Source Headline
28th Aug 20241:41 pmGNWAlliance Trust PLC - Net Asset Value
27th Aug 202411:56 amGNWAlliance Trust PLC - Net Asset Value
23rd Aug 20241:05 pmGNWAlliance Trust PLC - Net Asset Value
22nd Aug 202412:08 pmGNWAlliance Trust PLC - Net Asset Value
21st Aug 202411:29 amGNWAlliance Trust PLC - Net Asset Value
20th Aug 202412:07 pmGNWAlliance Trust PLC - Net Asset Value
19th Aug 20241:02 pmGNWAlliance Trust PLC - Net Asset Value
16th Aug 20241:28 pmGNWAlliance Trust PLC - Net Asset Value
15th Aug 202412:39 pmGNWAlliance Trust PLC - Net Asset Value
14th Aug 202412:31 pmGNWAlliance Trust PLC - Net Asset Value
13th Aug 202412:25 pmGNWAlliance Trust PLC - Net Asset Value
12th Aug 202411:52 amGNWAlliance Trust PLC - Net Asset Value
9th Aug 202412:45 pmGNWAlliance Trust PLC - Net Asset Value
8th Aug 202412:16 pmGNWAlliance Trust PLC - Net Asset Value
7th Aug 20241:13 pmGNWAlliance Trust PLC - Net Asset Value
6th Aug 20241:15 pmGNWAlliance Trust PLC - Net Asset Value
5th Aug 20241:57 pmGNWAlliance Trust PLC - Net Asset Value
2nd Aug 20241:58 pmGNWAlliance Trust PLC - Net Asset Value
1st Aug 20241:04 pmGNWAlliance Trust PLC - Net Asset Value
1st Aug 202411:36 amGNWAlliance Trust PLC - Total Voting Rights
31st Jul 202412:23 pmGNWAlliance Trust PLC - Net Asset Value
30th Jul 202412:51 pmGNWAlliance Trust PLC - Net Asset Value
29th Jul 20241:10 pmGNWAlliance Trust PLC - Net Asset Value
26th Jul 20241:28 pmGNWAlliance Trust PLC - Net Asset Value
25th Jul 202411:57 amGNWAlliance Trust PLC - Net Asset Value
25th Jul 20247:01 amGNWAlliance Trust PLC - Interim Results
25th Jul 20247:00 amGNWAlliance Trust PLC - Dividend Declaration
24th Jul 202410:47 amGNWAlliance Trust PLC - Net Asset Value
23rd Jul 20241:40 pmGNWAlliance Trust PLC - Net Asset Value
22nd Jul 202412:36 pmGNWAlliance Trust PLC - Net Asset Value
19th Jul 20241:48 pmGNWAlliance Trust PLC - Net Asset Value
18th Jul 202412:24 pmGNWAlliance Trust PLC - Net Asset Value
17th Jul 202412:36 pmGNWAlliance Trust PLC - Net Asset Value
16th Jul 20241:02 pmGNWAlliance Trust PLC - Net Asset Value
15th Jul 202412:48 pmGNWAlliance Trust PLC - Net Asset Value
12th Jul 202412:49 pmGNWAlliance Trust PLC - Net Asset Value
11th Jul 202412:25 pmGNWAlliance Trust PLC - Net Asset Value
10th Jul 202412:42 pmGNWAlliance Trust Plc - Net Asset Value
9th Jul 202412:51 pmGNWAlliance Trust PLC - Net Asset Value
8th Jul 202412:46 pmGNWAlliance Trust PLC - Net Asset Value
5th Jul 202412:50 pmGNWAlliance Trust PLC - Net Asset Value
4th Jul 20241:08 pmGNWAlliance Trust PLC - Net Asset Value
3rd Jul 20241:13 pmGNWAlliance Trust PLC - Net Asset Value
2nd Jul 20245:17 pmGNWAlliance Trust PLC - Transaction In Own Shares
2nd Jul 20241:47 pmGNWAlliance Trust PLC - Net Asset Value
1st Jul 20245:28 pmGNWAlliance Trust PLC - Transaction In Own Shares
1st Jul 20242:10 pmGNWAlliance Trust PLC - Net Asset Value
1st Jul 20242:06 pmGNWAlliance Trust PLC - Total Voting Rights
28th Jun 20245:18 pmGNWAlliance Trust PLC - Transaction In Own Shares
28th Jun 20241:12 pmGNWAlliance Trust PLC - Net Asset Value

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.