Murray Income Trust (MUT)

Sector: Investment Firms     Index: FTSE Small Cap
1.75%
13.50p
784.50p
16:44 15/12/17
784.50p
16:44 15/12/17
DAILY VARIATION
1.75%
13.50p
VOLUME
83,913
No results
REAL TIME BATS
776.50p
16:30 15/12/17
0.00%
0.00p
DATA
52 Week High
817.75p
52 Week Low
722.00p
Shares Issued
67.02m
Market Cap
£525.79m
RiskGrade
62
Beta
0.87
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Regulatory News

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Net Asset Value(s) 15-Dec-17 12:11
Net Asset Value(s) 14-Dec-17 11:41
REPLACEMENT: Dividend Declaration 13-Dec-17 13:46
Net Asset Value(s) 13-Dec-17 11:46
Portfolio Disclosures 12-Dec-17 17:41
Net Asset Value(s) 12-Dec-17 12:24
Net Asset Value(s) 11-Dec-17 12:02
Net Asset Value(s) 08-Dec-17 13:31
Directorate Change 08-Dec-17 07:04
Month End Net Asset Value(s) 07-Dec-17 15:13
Net Asset Value(s) 07-Dec-17 12:31
Net Asset Value(s) 06-Dec-17 13:33
Net Asset Value(s) 05-Dec-17 11:48
Net Asset Value(s) 04-Dec-17 14:22
Dividend Declaration 04-Dec-17 13:58
Net Asset Value(s) 30-Nov-17 16:26
Net Asset Value(s) 29-Nov-17 12:08
Block listing Interim Review 29-Nov-17 09:19
Net Asset Value(s) 28-Nov-17 11:15
Net Asset Value(s) 27-Nov-17 12:12
Net Asset Value(s) 24-Nov-17 12:34
Net Asset Value(s) 23-Nov-17 13:23
Net Asset Value(s) 22-Nov-17 13:05
Net Asset Value(s) 21-Nov-17 11:44
Net Asset Value(s) 20-Nov-17 11:52
Net Asset Value(s) 17-Nov-17 12:47
Net Asset Value(s) 16-Nov-17 11:51
Net Asset Value(s) 15-Nov-17 14:38
Net Asset Value(s) 14-Nov-17 11:48
Net Asset Value(s) 13-Nov-17 11:49
Director/PDMR Shareholding 13-Nov-17 11:42
Portfolio Update 10-Nov-17 13:24
Net Asset Value(s) 10-Nov-17 11:38
Fixed Rate Note Borrowing and New Loan Facility 09-Nov-17 14:08
Net Asset Value(s) 09-Nov-17 11:08
Net Asset Value(s) 08-Nov-17 12:08
Net Asset Value(s) 07-Nov-17 12:28
Directorate Change 07-Nov-17 07:05
Result of AGM 06-Nov-17 16:55
Directorate Change 06-Nov-17 16:55
October Month Net Asset Value(s) 06-Nov-17 16:16
Net Asset Value(s) 06-Nov-17 15:53
Net Asset Value(s) 03-Nov-17 12:02
Net Asset Value(s) 02-Nov-17 11:18
Net Asset Value(s) 31-Oct-17 12:07
Net Asset Value(s) 30-Oct-17 12:30
Net Asset Value(s) 27-Oct-17 12:42
Net Asset Value(s) 26-Oct-17 12:14
Net Asset Value(s) 25-Oct-17 12:18
Net Asset Value(s) 24-Oct-17 13:44
Net Asset Value(s) 23-Oct-17 12:13
Net Asset Value(s) 20-Oct-17 12:41
Net Asset Value(s) 19-Oct-17 13:09
Net Asset Value(s) 18-Oct-17 11:43
Net Asset Value(s) 17-Oct-17 11:37
Net Asset Value(s) 16-Oct-17 11:52
Net Asset Value(s) 13-Oct-17 11:45
Net Asset Value(s) 12-Oct-17 11:29
Portfolio Disclosures 12-Oct-17 11:21
Net Asset Value(s) 11-Oct-17 11:51
Net Asset Value(s) 10-Oct-17 11:12
Net Asset Value(s) 09-Oct-17 11:37
Net Asset Value(s) 06-Oct-17 11:37
September Month End Net Asset Value(s) 05-Oct-17 12:08
Net Asset Value(s) 05-Oct-17 11:28
Net Asset Value(s) 04-Oct-17 11:30
Quarterly Disclosures 03-Oct-17 14:41
Net Asset Value(s) 03-Oct-17 12:26
Doc re. Annual Report 03-Oct-17 11:45
Net Asset Value(s) 29-Sep-17 12:01
Net Asset Value(s) 28-Sep-17 12:38
Net Asset Value(s) 27-Sep-17 11:58
Net Asset Value(s) 26-Sep-17 11:57
Net Asset Value(s) 25-Sep-17 12:22
Net Asset Value(s) 22-Sep-17 11:41
Net Asset Value(s) 21-Sep-17 11:35
Net Asset Value(s) 20-Sep-17 12:13
Net Asset Value(s) 19-Sep-17 11:50
Net Asset Value(s) 18-Sep-17 12:03