The Company's objective is to provide long-term growth in income and capital, principally by investment in equities listed on the London Stock Exchange. The Board continues to recognise the importance of dividend income to shareholders. This Trust invests mainly in UK equities with a bias towards large, multinational companies and has a conservative management style that prioritises sustainable income and long-term capital growth. It provides UK investors with exposure to global growth through the portfolio's overseas revenues.
Title | Date | Type |
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TCL - Net Asset Values as at 19 March 2024 | Thu, Mar 21 2024 08:30 am | MKTUPDTE |
TCL - Transaction in own shares | Wed, Mar 20 2024 08:30 am | SECISSUE |
TCL - Net Asset Values as at 18 March 2024 | Wed, Mar 20 2024 08:30 am | MKTUPDTE |
TCL - Transaction in Own Shares | Tue, Mar 19 2024 08:30 am | SECISSUE |
TCL - Net Asset Values as at 15 March 2024 | Tue, Mar 19 2024 08:30 am | MKTUPDTE |
TCL - Transaction in own shares | Mon, Mar 18 2024 08:30 am | SECISSUE |
TCL - Net Asset Values as at 14 March 2024 | Mon, Mar 18 2024 08:30 am | MKTUPDTE |
TCL - Transaction in own shares | Fri, Mar 15 2024 08:30 am | SECISSUE |
TCL - Net Asset Values as at 13 March 2024 | Fri, Mar 15 2024 08:30 am | MKTUPDTE |
TCL - Transaction in Own Shares | Thu, Mar 14 2024 08:30 am | SECISSUE |