Foreign & Colonial Investment Trust Share Price (FRCL)

688.50 +0.50 (+0.07%) delayed: 12:55PM BST
Bid price 688.00 Open price 689.00
Ask price 689.00 Prev close 688.00
High price 689.99 Spread 0.15%
Low price 687.00 Volume 117,404

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Foreign & Colonial Investment Trust Share Price Information

Name Foreign & Colonial Investment Trust Epic FRCL
Sector Equity Investment Instruments ISIN GB0003466074
Activites The objective is to secure long-term growth in capital and income through a policy of investing primarily in a diversified international portfolio of equities with use of gearing. Index FTSE 250

Foreign & Colonial Investment Trust Key Numbers

Latest Share Price (p) 688.50 Net Gearing (%) 6.83
Market Capitalisation (£m) 3,692.25 Gross Gearing (%) 7.62
Shares in issue (m) 542.18 Debt Ratio 6.19
P/E Ratio 58.36 Debt-to-Equity Ratio 0.80
Total dividends per share (p) 10.40 Assets / Equity Ratio 1.08
Dividend Yield (%) 1.53 Price to book value 1.01
Dividend cover (x) 1.12 ROCE (%) 17.30
Earning per share (p) 11.67 EPS Growth (%) 10.41
52 week high / low 686.00 / 569.00 DPS Growth (%) 5.58

Foreign & Colonial Investment Trust Director Deals

Dec.Date Type Director Pos No. of Shares
14/05/2018 BUY Francesca Ecsery NED 1,535
11/05/2018 DRI Nicholas Moakes NED 304
03/05/2018 DRI Roger Bone NED 251
12/03/2018 BUY Roger Bone NED 153
14/02/2018 DRI Nicholas Moakes NED 324

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Foreign & Colonial Investment Trust Company News

15:07 21/05/2018

Net Asset Value(s)

RNS Number : 7648O Foreign & Col Invest Trust PLC 21 May 2018                                     21/05/2018...

14:20 18/05/2018

Net Asset Value(s)

RNS Number : 6136O Foreign & Col Invest Trust PLC 18 May 2018                     18/05/2018     Net Asset Values per share as at close of business on: 17/05/2018   The unaudited net asset values (NAVs) of the Company are...

14:15 17/05/2018

Net Asset Value(s)

RNS Number : 4662O Foreign & Col Invest Trust PLC 17 May 2018                   17/05/2018     Net Asset Values per share as at close of business on: 16/05/2018   The unaudited net asset values (NAVs) of the Company are noted below...

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