Eastern European Trust (EST)

218.00p
   
  • Change Today:
    -2.75p
  • 52 Week High: 323.00p
  • 52 Week Low: 216.50p
  • Currency: UK Pounds
  • Shares Issued: 46.19m
  • DIV Yield %: 0.0%
  • Market Cap: £100.69m
  • 1 Year Change: £-0.94
  • 1 Year % Change: -29.92%

Detailed Eastern European Trust Price Data

Price 218.00p Close 220.75p
Change Today -2.75p Volume 2,464
Percent Change -1.25 % Day High / Low 221.00p / 218.00p
Update Time 14:05:55 Year High / Low 323.00p / 216.50p
Bid 217.50p Last Trade Price 218.00p
Offer 224.75p Last Trade Amount 1,454
Open 218.00p Last Trade Time 14:05:53

Detailed Eastern European Trust Price Changes

Period Price Change Percent Change
1 week 217.50p +3.25p +1.49%
1 month 258.00p -37.25p -14.44%
3 months 278.00p -57.25p -20.59%
6 months 247.75p -27.00p -10.90%
1 year 315.00p -94.25p -29.92%

Additional Share Price Data

Ex-Marker Code Ex-Capitalisation NMS 900
Ex-Marker Start 30-Jul-12 VWAP 219.23p
Ex-Marker End 13-Aug-12 Beta 1.01

Related Market Prices

Index / Sector Value Change Percent Change
Equity Investment Instruments 5,366.57 +23.22 +0.43%
FTSE All-Share 2,769.11 +14.64 +0.53%
FTSE Small Cap 2,915.06 +10.83 +0.37%

Note 1: Prices and trades are provided by Digital Look Corporate Solutions and are delayed by at least 15 minutes.

Note 2: Key Data daily NAVs and related data are estimated and provided by Morningstar (www.morningstar.co.uk)

 

EST Market Data

Currency UK Pounds
Share Price 218.00 p
1 Year Change £-0.94
1 Year % Change -29.92%
DIV Yield % 0.0%

EST Key Data

NAV (Est.) 239.99p (30-May-2012)
Discount -7.86% (Intraday)
Gearing 104 (30-Apr-2012)
Total Assets £135.82m (30-Apr-2012)

EST Key Facts

Structure Conventional
Launch Date 29-Nov-1994
Mangement Group BlackRock
AIC Sector European Emerging Markets

EST Dividends

No dividends found

Trades for 31-May-2012

Time Volume / Share Price
14:05 1,454 @ 218.00p
08:10 1,010 @ 221.00p

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