28 Feb 2024 13:00
GEIGER COUNTER LIMITED |
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Date of Announcement: 28/02/2024 | ||||||||
Net Asset Values per share as at: 27/02/2024
The unaudited net asset value (NAV) of the company is noted below in pence per share.
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NAV | 69.67 |
Fully diluted NAV | 64.35 |
To deliver attractive returns to shareholders principally in the form of capital growth, through investment in companies involved in the exploration, development and production of uranium to supply the nuclear power industry.
Find out More28 Feb 2024 13:00
GEIGER COUNTER LIMITED |
| |||||||
Date of Announcement: 28/02/2024 | ||||||||
Net Asset Values per share as at: 27/02/2024
The unaudited net asset value (NAV) of the company is noted below in pence per share.
|
|
|
NAV | 69.67 |
Fully diluted NAV | 64.35 |
Date | Source | Headline | |
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16th Jun 2022 | 2:15 pm | RNS | Net Asset Value(s) |
15th Jun 2022 | 1:30 pm | RNS | Net Asset Value(s) |
14th Jun 2022 | 2:00 pm | RNS | Net Asset Value(s) |
13th Jun 2022 | 1:15 pm | RNS | Net Asset Value(s) |
13th Jun 2022 | 12:00 pm | RNS | Issue of Ordinary shares |
10th Jun 2022 | 2:15 pm | RNS | Net Asset Value(s) |
10th Jun 2022 | 1:55 pm | RNS | Issue of Ordinary shares |
9th Jun 2022 | 12:15 pm | RNS | Net Asset Value(s) |
8th Jun 2022 | 2:10 pm | RNS | Net Asset Value(s) |
8th Jun 2022 | 1:55 pm | RNS | Issue of Ordinary shares |
7th Jun 2022 | 1:00 pm | RNS | Net Asset Value(s) |
6th Jun 2022 | 4:20 pm | RNS | Net Asset Value(s) |
1st Jun 2022 | 2:45 pm | RNS | Net Asset Value(s) |
31st May 2022 | 4:40 pm | RNS | Net Asset Value(s) |
30th May 2022 | 5:30 pm | RNS | Net Asset Value(s) |
26th May 2022 | 2:00 pm | RNS | Net Asset Value(s) |
25th May 2022 | 1:45 pm | RNS | Net Asset Value(s) |
24th May 2022 | 3:00 pm | RNS | Net Asset Value(s) |
23rd May 2022 | 12:00 pm | RNS | Net Asset Value(s) |
20th May 2022 | 2:00 pm | RNS | Net Asset Value(s) |
19th May 2022 | 1:40 pm | RNS | Net Asset Value(s) |
18th May 2022 | 11:30 am | RNS | Net Asset Value(s) |
17th May 2022 | 12:00 pm | RNS | Net Asset Value(s) |
16th May 2022 | 12:30 pm | RNS | Net Asset Value(s) |
13th May 2022 | 12:00 pm | RNS | Net Asset Value(s) |
12th May 2022 | 12:30 pm | RNS | Net Asset Value(s) |
11th May 2022 | 12:00 pm | RNS | Net Asset Value(s) |
10th May 2022 | 12:45 pm | RNS | Net Asset Value(s) |
9th May 2022 | 12:00 pm | RNS | Net Asset Value(s) |
6th May 2022 | 2:00 pm | RNS | Net Asset Value(s) |
6th May 2022 | 12:25 pm | RNS | Exercise of outstanding Subscription Share Rights |
6th May 2022 | 12:20 pm | RNS | Second Subscription Rights Price |
5th May 2022 | 3:45 pm | RNS | Net Asset Value(s) |
5th May 2022 | 9:30 am | RNS | Results of Subscription Rights Exercise |
4th May 2022 | 3:30 pm | RNS | Net Asset Value(s) |
3rd May 2022 | 2:15 pm | RNS | Net Asset Value(s) |
29th Apr 2022 | 1:30 pm | RNS | Net Asset Value(s) |
28th Apr 2022 | 1:00 pm | RNS | Net Asset Value(s) |
27th Apr 2022 | 3:15 pm | RNS | Statement re Investment Policy |
27th Apr 2022 | 1:45 pm | RNS | Net Asset Value(s) |
26th Apr 2022 | 12:45 pm | RNS | Net Asset Value(s) |
25th Apr 2022 | 3:40 pm | RNS | Net Asset Value(s) |
22nd Apr 2022 | 1:45 pm | RNS | Net Asset Value(s) |
21st Apr 2022 | 2:00 pm | RNS | Reminder in regard to Subscription Rights |
21st Apr 2022 | 1:15 pm | RNS | Net Asset Value(s) |
20th Apr 2022 | 1:15 pm | RNS | Net Asset Value(s) |
19th Apr 2022 | 3:00 pm | RNS | Net Asset Value(s) |
19th Apr 2022 | 2:45 pm | RNS | Issue of Ordinary Shares |
14th Apr 2022 | 11:30 am | RNS | Net Asset Value(s) |
13th Apr 2022 | 12:00 pm | RNS | Net Asset Value(s) |
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