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BlackRock Greater Europe Investment Trust (BRGE) Ord 0.1p Shares

Sell: 240.00pBuy: 242.50pNo change 
FTSE All Share0.68%
Market closed. Prices as at close on 17 April 2014.
* Please note that there can be occasions when the Selling price shown may be temporarily higher than the Buying price. This can sometimes happen when the stock market is closed but it can also happen at other times for a variety of reasons. However, when the stock market is open and you place a trade, the selling price available to you will never be higher than the buying price. Live prices will be available when you place a deal with us during market hours. Please check these and contact us if you are unable to deal online.
Open: 240.25p Trade high: 244.46p Year high: 254.00p Latest NAV: 245.17
Previous close: 240.00p Trade low: 240.00p Year low: 206.00p Premium/Discount: -0.82%
Previous change: 0.00 (0.00%) Volume: n/a Dividend yield: 2.18% Currency: GBX

Data delayed by at least 15 minutes.

Performance

Not available for this stock.

Trust Basics

Benchmark: FTSE World Europe ex.UK TR EUR
Annual management charge: 0.7% of Market Cap
Performance fee: Yes
Ongoing charge: 1.40%
Dividend yield: 2.18 %
Dividend frequency: Annually
Total assets: £267m
Gross gearing: 100%
Market capitalisation: £262m
Shares in issue: 107.58 million
Legal structure Closed Ended Investment Company
Domicile: United Kingdom
ISIN GB00B01RDH75

Recent dividends paid or declared by BlackRock Greater Europe Investment Trust:

Type Ex-div date Payment date Amount
Special 30/10/2013 13/12/2013 1.00p
Final 30/10/2013 13/12/2013 4.50p
Final 24/10/2012 07/12/2012 4.20p
Special 26/10/2011 08/12/2011 2.50p
Final 26/10/2011 08/12/2011 3.50p
Full dividend history

Five years' total annual BlackRock Greater Europe Investment Trust dividends:

Financial
year end
Dividend
yield
Dividend
cover
Total dividend
paid
31/08/2013 2.00% 1.40 5.50p
31/08/2012 2.40% 1.31 4.20p
31/08/2011 1.90% 1.93 6.00p
31/08/2010 2.10% 0.95 3.30p
31/08/2009 2.00% 1.03 3.15p

All dividend data is calculated excluding any special dividends. Historical dividends may be adjusted to reflect any subsequent rights issues and corporate actions.

Full dividend history

Objective

To achieve capital growth, through investments in a focused portfolio constructed from a combination of the securities of large, mid and small capitalization European companies, together with some investments in the developing markets of Europe.

NET ASSET VALUE (NAV)

Latest NAV: 245.17
NAV date: 14 April 2014
Premium/Discount: -0.82%
12m average Premium/Discount: -4.04%
NAV frequency: Daily

Recent trades

Time / date Buy / sell Volume Price Value
16:35 - 17/04 Sell 413 240.00p £991.20
16:25 - 17/04 Sell 46 240.25p £110.52
16:21 - 17/04 Buy 700 242.81p £1,699.64
16:17 - 17/04 Sell 47 240.25p £112.92
15:31 - 17/04 Buy 8500 243.26p £20,676.85

Proportion of shares bought/sold on the current trading day is not available for this stock

The "buy" or "sell" status is an assumption based on the trade price and spread at the time of trade. It is an indication only.

Sector Weight
Financial Services 22.56%
Consumer Cyclical 17.94%
Healthcare 16.30%
Industrials 14.71%
Consumer Defensive 9.54%
Technology 8.77%
Basic Materials 3.73%
Communication Services 3.35%
Real Estate 1.49%
Energy 1.43%
Country Weight
France 20.52%
Switzerland 18.24%
Germany 15.90%
Netherlands 14.23%
Belgium 5.83%
Sweden 5.36%
Russia 4.08%
Denmark 3.79%
Ireland 2.99%
Spain 2.00%

Key Dates

Launch date: 20 September 2004
Financial year end: August
Next AGM: December 2014

Prices provided by NetBuilder. Charts and performance data provided by Interactive Data. Dividend data provided by Digital Look. Recent trade data provided by MoneyAM. Trust basics, holding data, key dates, objective and NAV provided by Morningstar.

Deal now Deal from just £5.95 per trade in an ISA, SIPP or Fund & Share Account

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