**STAGING Tools**
Machine:__________02; Visitor from:US

Prices & Performance

  • Share Price

Unless otherwise stated, the figures below are correct as at 23/5/12

Share Price
(p)
Discount /
 Premium %
Last pub NAV (22/5/12)Gearing %Div Yield (Net)
333.00-20.13421.407.003.00
% Share Price (Total Return)
1m3m6m1y3y5y
-6.11-12.20-0.97-28.4724.69-20.20
% NAV (Total Return)
1m3m6m1y3y5y
-7.78-6.915.71-25.4628.67-15.85
Discrete Calendar Year (Dec 31-Dec 31) Performance %
2010/20112009/20102008/20092007/20082006/2007
Share Price (Total Return)-29.325.5104.2-42.2-23.6
Net Asset Value (Total Return)-27.222.9111.4-45.2-17.1

Breakdown (as at - 30/4/12)

Geographic Breakdown(%)
UK98.00
Cash/Cash Equiv.2.00
Sector Breakdown(%)
FTSE Fledgling (inc IC)95.00
UK AIM/OFEX3.00
Cash/Cash Equiv.2.00
Top 10 holdings(%)
Gleeson (MJ) Group Plc3.50
Zotefoams Plc3.40
Communisis Plc3.10
Future PLC2.80
stv Group PLC2.80
Office 2 Office2.80
Moss Bros Group PLC2.80
Dee Valley Group Plc2.70
Phytopharm2.50
Porvair Plc2.40

 

Dividends

IDEx Dividend DatePay DateTypeAmount Div p/psTax
3232189 Sep 20097 Oct 2009FIN4.00NET
3232199 Sep 20097 Oct 2009-2.60NET
3232203 Mar 201031 Mar 2010INT3.50NET
32322110 Nov 20108 Dec 2010FIN4.00NET
3232224 May 201127 May 2011INT4.00NET
32322323 Nov 201116 Dec 2011FIN6.00NET
3232249 May 201225 May 2012INT4.00NET

Please remember that past performance is not a guide to future performance. The value of an investment and the income from it can fall as well as rise as a result of market and currency fluctuations and you may not get back the amount originally invested. Yields where displayed are one year yields calculated at month end.
 
Source:
Morningstar
Morningstar, based on market prices at close on the date shown. We are not responsible for the accuracy or completeness of the information supplied by Morningstar. We take care to ensure that the information provided by Morningstar is correct but we neither warrant, represent nor guarantee the contents of the information, nor do we accept any responsibility for errors, inaccuracies, omissions or any inconsistencies therein. Prices may be subject to change, errors and omissions excepted.
 
Note:
  • Discount/Premiums are calculated using the latest Morningstar estimated NAVs and the closing share price on that day.
  • NAVs are calculated valuing debt at its fair value to reflect its current market valuation and including current period revenue
  • Gearing is the effect of borrowing money for investment purposes. The amount a company can “gear” is the amount it can borrow in order to invest.
  • Gearing is used in the expectation that the returns on the investments bought will exceed the costs of the borrowings that funded the purchase.