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NCYF Cqs New City High Yield Fund Limited

52,40
-0,60 (-1,13%)
Dernière mise à jour : 15:51:32
Retardé de 15 minutes
Nom Action Symbole Action Marché Type
Cqs New City High Yield Fund Limited NCYF London Action ordinaire
  Variation Action Variation Action% Cours Dernier Dernier échange
-0,60 -1,13% 52,40 15:51:32
Ouverture Plus Bas Plus Haut Prix de clôture Clôture Veille
52,00 51,80 52,40 53,00
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Secteur Industriel
EQUITY INVESTMENT INSTRUMENTS

Actualités Recentes

Date Heure Source Titre
02/5/202414:56UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
01/5/202415:55UK RNSCQS New City High Yield Fund Ltd Total Voting Rights
01/5/202415:37UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
30/4/202413:36UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
29/4/202415:49UK RNSCQS New City High Yield Fund Ltd Monthly Fact Sheet as at 31..
29/4/202413:31UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
26/4/202413:46UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
25/4/202413:55UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
24/4/202415:01UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
23/4/202414:28UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
23/4/202413:33UK RNSCQS New City High Yield Fund Ltd Dividend Declaration
22/4/202413:45UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
19/4/202414:32UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
18/4/202414:57UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
17/4/202411:59UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
16/4/202413:26UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
15/4/202413:59UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
12/4/202413:25UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
11/4/202413:51UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
10/4/202413:20UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
09/4/202412:58UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
08/4/202415:41UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
05/4/202418:02UK RNSCQS New City High Yield Fund Ltd Issue of Equity
05/4/202413:53UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
04/4/202418:16UK RNSCQS New City High Yield Fund Ltd Issue of Equity
04/4/202413:12UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
03/4/202418:27UK RNSCQS New City High Yield Fund Ltd Issue of Equity
03/4/202416:52UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
03/4/202410:00UK RNSCQS New City High Yield Fund Ltd Investment Manager
02/4/202416:18UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
28/3/202418:19UK RNSCQS New City High Yield Fund Ltd Issue of Equity
28/3/202415:02UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
27/3/202414:49UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
26/3/202415:11UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
25/3/202413:49UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
22/3/202415:35UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
21/3/202414:49UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
20/3/202415:43UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
19/3/202416:33UK RNSCQS New City High Yield Fund Ltd Monthly Fact Sheet as at 29..
19/3/202415:48UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
18/3/202414:27UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
15/3/202414:12UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
15/3/202411:46UK RNSCQS New City High Yield Fund Ltd Investor Presentation via..
14/3/202413:49UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
13/3/202415:48UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
12/3/202413:49UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
12/3/202413:14UK RNSCQS New City High Yield Fund Ltd Appointment of Public..
11/3/202413:52UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
08/3/202413:48UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)
07/3/202413:37UK RNSCQS New City High Yield Fund Ltd Net Asset Value(s)

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