JPMorgan Smaller Companies Investment Trust Share Price (JMI)

930.00 0.00 (0.00%) delayed: 3:25PM BST
Bid price 925.00 Open price 928.00
Ask price 932.00 Prev close 930.00
High price 930.00 Spread 0.75%
Low price 925.50 Volume 23,028

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JPMorgan Smaller Companies Investment Trust Share Price Information

Name JPMorgan Smaller Companies Investment Trust Epic JMI
Sector Equity Investment Instruments ISIN GB0007416000
Activites n/a Index n/a

JPMorgan Smaller Companies Investment Trust Key Numbers

Latest Share Price (p) 930.00 Net Gearing (%) 5.34
Market Capitalisation (£m) 159.96 Gross Gearing (%) 11.19
Shares in issue (m) 17.20 Debt Ratio 0.00
P/E Ratio 76.23 Debt-to-Equity Ratio 0.00
Total dividends per share (p) 18.30 Assets / Equity Ratio 1.13
Dividend Yield (%) 1.97 Price to book value 1.00
Dividend cover (x) 0.67 ROCE (%) 590.26
Earning per share (p) 12.20 EPS Growth (%) n/a
52 week high / low 955.00 / 715.25 DPS Growth (%) n/a

JPMorgan Smaller Companies Investment Trust Director Deals

Dec.Date Type Director Pos No. of Shares
14/07/2017 BUY Alice Ryder NED 1,000
14/07/2017 EXR Andrew Robson NED 432
14/07/2017 EXR Michael Quicke CH 1,840
02/12/2016 BUY Andrew Robson NED 1,200
18/10/2016 BUY Michael Quicke CH 2,197

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JPMorgan Smaller Companies Investment Trust Company News

17:16 21/07/2017

Transaction in Own Shares

RNS Number : 8110L JPMorgan Smaller Cos IT PLC 21 July 2017   LONDON STOCK EXCHANGE ANNOUNCEMENT     JPMORGAN SMALLER COMPANIES INVESTMENT TRUST PLC     REPURCHASE OF ORDINARY SHARES FOR CANCELLATION (the 'Company')   Legal Entity Identifier:...

12:31 21/07/2017

Net Asset Value(s)

RNS Number : 7736L JPMorgan Smaller Cos IT PLC 21 July 2017   JPMORGAN SMALLER COMPANIES INVESTMENT TRUST PLC  (the 'Company') Legal Entity Identifier: 549300PXALXKUMU9JM18 THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUES (NAV) As at:...

11:32 20/07/2017

Net Asset Value(s)

RNS Number : 6385L JPMorgan Smaller Cos IT PLC 20 July 2017   JPMORGAN SMALLER COMPANIES INVESTMENT TRUST PLC  (the 'Company') Legal Entity Identifier: 549300PXALXKUMU9JM18 THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUES (NAV) As at:...

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