| Price |
81.00p |
Close |
81.00p |
| Change Today |
0.000p |
Volume |
0 |
| Percent Change |
n/a % |
Day High / Low |
81.00p / 70.00p |
| Update Time |
16:35:14 |
Year High / Low |
100.00p / 70.00p |
| Bid |
80.00p |
Last Trade Price |
n/a |
| Offer |
82.00p |
Last Trade Amount |
n/a |
| Open |
81.00p |
Last Trade Time |
n/a |
| 1 week |
81.00p |
0.000p |
n/a |
| 1 month |
82.13p |
-1.13p |
-1.37% |
| 3 months |
98.00p |
-17.00p |
-17.35% |
| 6 months |
98.50p |
-17.50p |
-17.77% |
| 1 year |
99.00p |
-18.00p |
-18.18% |
| Ex-Marker Code |
Ex-Dividend |
NMS |
1,000 |
| Ex-Marker Start |
11-Apr-12 |
VWAP |
0.000p |
| Ex-Marker End |
04-May-12 |
Beta |
0.00 |
FTNC Market Data
FTNC Key Data
| NAV (Est.) |
99.26p
|
(25-May-2012) |
| Discount |
-18.40% |
(Intraday) |
| Gearing |
100 |
(30-Apr-2012) |
| Total Assets |
£24.62m |
(30-Apr-2012) |
FTNC Key Facts
| Structure |
Venture Capital Trusts |
| Launch Date |
08-Jan-2007 |
| Mangement Group |
Foresight Group |
| AIC Sector |
VCT Specialist: Technology |
| |
Final |
Final |
| Ex-Div |
11-Apr-12 |
13-Apr-11 |
| Paid |
04-May-12 |
06-May-11 |
| Amount |
2.00p |
3.00p |
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