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

26 Oct 2023 14:44

Alliance Trust PLC - Dividend Declaration

Alliance Trust PLC LEI: 213800SZZD4E2IOZ9W55

Dividend Declaration

Alliance Trust PLC announces the declaration of a third interim dividend of 6.34p per share, representing an increase of 5.7% on the equivalent dividend of 6.00p paid in respect of the previous financial year.

The dividend will be paid on 29 December 2023 to shareholders on the register at the close of business on 1 December 2023. The ex-dividend date is 30 November 2023.

Barring unforeseen circumstances, this increased level of dividend is expected to be at least maintained for the fourth interim dividend. This is therefore expected to result in a total dividend of 2023 of at least 25.20p, an increase of 5% on the Company’s 2022 dividend. This follows the 26% increase in dividends for 2022 compared to 2021.

Juniper Partners LimitedCompany Secretary

26 October 2023

Date   Source Headline
27th Jun 20245:35 pmGNWAlliance Trust PLC - Transaction In Own Shares
27th Jun 20242:12 pmGNWAlliance Trust PLC - Net Asset Value
26th Jun 20242:32 pmGNWAlliance Trust PLC - Net Asset Value
26th Jun 20247:00 amRNSCombination to form Alliance Witan PLC
26th Jun 20247:00 amGNWAlliance Trust PLC - Combination to form Alliance Witan PLC
25th Jun 20245:27 pmGNWAlliance Trust PLC - Transaction In Own Shares
25th Jun 20241:01 pmGNWAlliance Trust PLC - Net Asset Value
24th Jun 20241:26 pmGNWAlliance Trust PLC - Net Asset Value
21st Jun 20245:23 pmGNWAlliance Trust PLC - Transaction In Own Shares
21st Jun 20241:24 pmGNWAlliance Trust PLC - Net Asset Value
20th Jun 20241:49 pmGNWAlliance Trust PLC - Net Asset Value
19th Jun 20241:28 pmGNWAlliance Trust PLC - Net Asset Value
18th Jun 20245:26 pmGNWAlliance Trust PLC - Transaction In Own Shares
18th Jun 20241:50 pmGNWAlliance Trust PLC - Net Asset Value
17th Jun 20245:16 pmGNWAlliance Trust PLC - Transaction In Own Shares
17th Jun 20241:03 pmGNWAlliance Trust PLC - Net Asset Value
14th Jun 20245:15 pmGNWAlliance Trust PLC - Transaction In Own Shares
14th Jun 20241:43 pmGNWAlliance Trust PLC - Net Asset Value
13th Jun 20245:31 pmGNWAlliance Trust PLC - Transaction In Own Shares
13th Jun 20241:28 pmGNWAlliance Trust PLC - Net Asset Value
12th Jun 20245:22 pmGNWAlliance Trust PLC - Transaction In Own Shares
12th Jun 20241:29 pmGNWAlliance Trust PLC - Net Asset Value
11th Jun 20245:30 pmGNWAlliance Trust PLC - Transaction In Own Shares
11th Jun 20241:31 pmGNWAlliance Trust PLC - Net Asset Value
10th Jun 20245:32 pmGNWAlliance Trust PLC - Transaction In Own Shares
10th Jun 20241:26 pmGNWAlliance Trust PLC - Net Asset Value
7th Jun 20245:22 pmGNWAlliance Trust PLC - Transaction In Own Shares
7th Jun 202412:57 pmGNWAlliance Trust PLC - Net Asset Value
6th Jun 20245:45 pmGNWAlliance Trust PLC - Transaction in Own Shares
6th Jun 20241:12 pmGNWAlliance Trust PLC - Net Asset Value
5th Jun 20241:26 pmGNWAlliance Trust PLC - Net Asset Value
4th Jun 202412:29 pmGNWAlliance Trust PLC - Net Asset Value
3rd Jun 20241:56 pmGNWAlliance Trust PLC - Total Voting Rights
3rd Jun 20241:54 pmGNWAlliance Trust PLC - Net Asset Value
31st May 20241:45 pmGNWAlliance Trust PLC - Net Asset Value
30th May 20241:05 pmGNWAlliance Trust PLC - Net Asset Value
29th May 20241:51 pmGNWAlliance Trust PLC - Net Asset Value
28th May 202412:49 pmGNWAlliance Trust PLC - Net Asset Value
24th May 20241:30 pmGNWAlliance Trust PLC - Net Asset Value
23rd May 20241:00 pmGNWAlliance Trust PLC - Net Asset Value
22nd May 20241:36 pmGNWAlliance Trust PLC - Net Asset Value
21st May 202412:46 pmGNWAlliance Trust PLC - Net Asset Value
20th May 202412:48 pmGNWAlliance Trust PLC - Net Asset Value
17th May 20241:54 pmGNWAlliance Trust PLC - Net Asset Value
16th May 202412:58 pmGNWAlliance Trust PLC - Net Asset Value
15th May 20241:13 pmGNWAlliance Trust PLC - Net Asset Value
14th May 20241:37 pmGNWAlliance Trust PLC - Net Asset Value
13th May 20241:33 pmGNWAlliance Trust PLC - Net Asset Value
10th May 20241:03 pmGNWAlliance Trust PLC - Net Asset Value
9th May 20241:19 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.