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Scottish Investment Trust PLC Market & Company News

31.03.2020 11:18 Net Asset Value(s)RNS
30.03.2020 10:03 Net Asset Value(s)RNS
27.03.2020 12:07 Net Asset Value(s)RNS
26.03.2020 11:02 Net Asset Value(s)RNS
25.03.2020 10:47 Net Asset Value(s)RNS
24.03.2020 11:02 Net Asset Value(s)RNS
23.03.2020 12:27 Net Asset Value(s)RNS
20.03.2020 12:03 Net Asset Value(s)RNS
19.03.2020 13:18 Net Asset Value(s)RNS
18.03.2020 11:41 Net Asset Value(s)RNS
17.03.2020 11:19 Net Asset Value(s)RNS
16.03.2020 11:42 Net Asset Value(s)RNS
13.03.2020 16:17 Portfolio UpdateRNS
13.03.2020 11:43 Net Asset Value(s)RNS
12.03.2020 11:57 Net Asset Value(s)RNS
11.03.2020 11:28 Net Asset Value(s)RNS
11.03.2020 09:55 Net Asset Value(s)RNS
10.03.2020 12:08 Net Asset Value(s)RNS
09.03.2020 11:22 Net Asset Value(s)RNS
06.03.2020 15:29 Net Asset Value(s)RNS
06.03.2020 15:20 Net Asset Value(s)RNS
06.03.2020 10:37 Net Asset Value(s)RNS
05.03.2020 11:13 Net Asset Value(s)RNS
04.03.2020 11:02 Net Asset Value(s)RNS
03.03.2020 11:57 Net Asset Value(s)RNS
02.03.2020 11:43 Net Asset Value(s)RNS
28.02.2020 17:23 Total Voting RightsRNS
28.02.2020 16:43 Subscription ReminderRNS
28.02.2020 11:38 Net Asset Value(s)RNS
27.02.2020 11:39 Net Asset Value(s)RNS
26.02.2020 12:48 Net Asset Value(s)RNS
25.02.2020 11:28 Net Asset Value(s)RNS
24.02.2020 10:43 Net Asset Value(s)RNS
21.02.2020 10:27 Net Asset Value(s)RNS
20.02.2020 12:20 Net Asset Value(s)RNS
19.02.2020 10:32 Net Asset Value(s)RNS
18.02.2020 10:18 Net Asset Value(s)RNS
17.02.2020 11:52 Net Asset Value(s)RNS
14.02.2020 17:41 Month end portfolio informationRNS
14.02.2020 11:02 Net Asset Value(s)RNS
13.02.2020 11:04 Net Asset Value(s)RNS
12.02.2020 11:13 Net Asset Value(s)RNS
11.02.2020 11:03 Net Asset Value(s)RNS
10.02.2020 10:57 Net Asset Value(s)RNS
07.02.2020 10:58 Net Asset Value(s)RNS
06.02.2020 10:37 Net Asset Value(s)RNS
05.02.2020 10:44 Net Asset Value(s)RNS
04.02.2020 12:17 Net Asset Value(s)RNS
03.02.2020 14:52 Block listing Interim ReviewRNS
03.02.2020 11:58 Net Asset Value(s)RNS
31.01.2020 17:59 Total Voting RightsRNS
31.01.2020 17:45 Issue of EquityRNS
31.01.2020 10:22 Net Asset Value(s)RNS
30.01.2020 10:22 Net Asset Value(s)RNS
29.01.2020 17:32 Holding(s) in CompanyRNS
29.01.2020 10:24 Net Asset Value(s)RNS
28.01.2020 11:38 Net Asset Value(s)RNS
27.01.2020 10:58 Net Asset Value(s)RNS
24.01.2020 11:07 Net Asset Value(s)RNS
23.01.2020 12:47 Net Asset Value(s)RNS
22.01.2020 11:48 Net Asset Value(s)RNS
21.01.2020 10:02 Net Asset Value(s)RNS
20.01.2020 10:57 Net Asset Value(s)RNS
17.01.2020 10:33 Net Asset Value(s)RNS
16.01.2020 10:13 Net Asset Value(s)RNS
15.01.2020 10:32 Net Asset Value(s)RNS
14.01.2020 15:17 Portfolio UpdateRNS
14.01.2020 11:04 Net Asset Value(s)RNS
13.01.2020 10:18 Net Asset Value(s)RNS
10.01.2020 12:06 Net Asset Value(s)RNS
09.01.2020 10:37 Net Asset Value(s)RNS
08.01.2020 11:18 Net Asset Value(s)RNS
07.01.2020 11:13 Net Asset Value(s)RNS
06.01.2020 10:48 Net Asset Value(s)RNS
03.01.2020 11:12 Net Asset Value(s)RNS
02.01.2020 11:33 Net Asset Value(s)RNS
31.12.2019 12:34 Total Voting RightsRNS
31.12.2019 10:02 Net Asset Value(s)RNS
30.12.2019 11:12 Net Asset Value(s)RNS
27.12.2019 11:40 Availability of Half Yearly Financial ReportRNS
27.12.2019 10:47 Net Asset Value(s)RNS
24.12.2019 11:12 Net Asset Value(s)RNS
23.12.2019 10:42 Net Asset Value(s)RNS
20.12.2019 16:57 Dividend DeclarationRNS
20.12.2019 16:49 Half Yearly Financial Report to 30 September 2019RNS
20.12.2019 10:47 Net Asset Value(s)RNS
19.12.2019 12:34 Net Asset Value(s)RNS
18.12.2019 10:57 Net Asset Value(s)RNS
17.12.2019 10:37 Net Asset Value(s)RNS
16.12.2019 14:41 Portfolio UpdateRNS
16.12.2019 11:57 Net Asset Value(s)RNS
13.12.2019 10:18 Net Asset Value(s)RNS
12.12.2019 12:17 Net Asset Value(s)RNS
11.12.2019 10:22 Net Asset Value(s)RNS
10.12.2019 10:54 Net Asset Value(s)RNS
09.12.2019 09:53 Net Asset Value(s)RNS
06.12.2019 10:08 Net Asset Value(s)RNS
05.12.2019 10:19 Net Asset Value(s)RNS
04.12.2019 13:03 Net Asset Value(s)RNS
03.12.2019 10:48 Net Asset Value(s)RNS
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