| Latest Laxey It News Headlines |
| Date | Time | Source | |
| 09/05/2008 | 6:01AM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 31st August 2008) at close of business on 31st August 2008 was
100.44p.
5th September 2008
END
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| 09/03/2008 | 11:30AM | UKREG | Results of court hearing and general meeting RNS Number : 6880C
Laxey Investment Trust (The) PLC
03 September 2008
For immediate release
The Laxey Investment Trust plc
Not for release, publication or distribution, in whole or part, in, or into or from Australia, Canada, Japan or the United States or any
other Restricted Jurisdiction... More...>> |
| 08/29/2008 | 12:42PM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 31st July 2008) at close of business on 28th August 2008 was
100.73p.
29th August 2008
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| 08/22/2008 | 7:23AM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 31st July 2008) at close of business on 21st August 2008 was 98.93p.
22nd August 2008
END
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| 08/15/2008 | 11:27AM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 31st July 2008) at close of business on 14th August 2008 was
100.58p.
15th August 2008
END
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| 08/15/2008 | 4:53AM | UKREG | Interim Management Statement THE LAXEY INVESTMENT TRUST PLC
Interim Management Statement - 3 months to 30 June 2008
The Laxey Investment Trust PLC (the `Company') presents its interim management
statement for the period 1 April 2008 to 30 June 2008. This constitutes the
Company's second interim management statement for the financial year... More...>> |
| 08/11/2008 | 12:00PM | UKREG | Posting of Scheme Document RNS Number : 1009B
Laxey Investment Trust (The) PLC
11 August 2008
For immediate release
The Laxey Investment Trust plc ("TLIT" or the "Company")
Not for release, publication or distribution, in whole or part, in, or into or from Australia, Canada, Japan or the United States or any
other... More...>> |
| 08/08/2008 | 6:49AM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 31st July 2008) at close of business on 7th August 2008 was 100.24p.
8th August 2008
END
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| 08/06/2008 | 10:45AM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 31st July 2008) at close of business on 31st July 2008 was 99.11p.
6th August 2008
END
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| 07/25/2008 | 12:30PM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 30th June 2008) at close of business on 24th July 2008 was 101.63p.
25th July 2008
END
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| 07/18/2008 | 12:17PM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 30th June 2008) at close of business on 17th July 2008 was 99.46p.
18th July 2008
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| 07/11/2008 | 11:55AM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 30th June 2008) at close of business on 10th July 2008 was 101.53p.
11th July 2008
END
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| 07/07/2008 | 2:01AM | UKREG | Rule 2.10 Announcement RNS Number : 4182Y
Laxey Investment Trust (The) PLC
07 July 2008
Not for release, publication or distribution, in whole or part, in, or into or from Australia, Canada, Japan or the United States of
America or any other Restricted Jurisdiction
Recommended proposals for the acquisition of... More...>> |
| 07/04/2008 | 3:49AM | TFNF | Laxey makes formal 250p-per-share bid for TDG including optional share component Laxey Partners Limited acquisition vehicle LIT
Plc. said it has made a formal agreed offer valuing logistics company TDG Plc.
at around 203 million pounds that gives shareholders the opportunity to
participate in the equity of LIT.
TDG shareholders are being offered 250 pence cash per share or 200 pence
plus... More...>> |
| 07/04/2008 | 2:02AM | UKREG | Offer for The Laxey Investment Trust plc RNS Number : 3214Y
LIT PLC
04 July 2008
Not for release, publication or distribution, in whole or part, in, or into or from Australia, Canada, Japan or the United States of
America or any other Restricted Jurisdiction
FOR IMMEDIATE RELEASE
4 July 2008
Recommended proposals for the acquisition... More...>> |
| 07/02/2008 | 10:47AM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 30th June 2008) at close of business on 30th June 2008 was 104.94p.
2nd July 2008
END
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| 06/27/2008 | 10:09AM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 31st May 2008) at close of business on 26th June 2008 was 105.04p.
27th June 2008
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| 06/24/2008 | 8:51AM | UKREG | Holding(s) in Company Form TR-1 with annex. FSA Version 2.1 updated April 2007
For filings with the FSA include the annex
For filings with issuer exclude the annex
TR-1: Notifications of Major Interests in Shares
1. Identity of the issuer or the underlying... More...>> |
| 06/20/2008 | 11:52AM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 31st May 2008 due to permanent deficit) at close of business on 19th
June 2008 was 108.33p.
20th June 2008
END
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| 06/13/2008 | 12:16PM | UKREG | Net Asset Value(s) THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 31st May 2008 due to permanent deficit) at close of business on 12th
June 2008 was 108.95p.
13th June 2008
END
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