GMPP

GABELLI MERGER PLUS+ TRUST PLC ORD USD0.01 (GBP)

TitleTime
Net Asset Value(s)Fri 22/05/20 | 10:11
Net Asset Value(s)Thu 21/05/20 | 09:37
Net Asset Value(s)Wed 20/05/20 | 10:06
Net Asset Value(s)Tue 19/05/20 | 09:39
Net Asset Value(s)Mon 18/05/20 | 09:01
Net Asset Value(s)Fri 15/05/20 | 10:22
Net Asset Value(s)Thu 14/05/20 | 09:00
Net Asset Value(s)Wed 13/05/20 | 12:13
Net Asset Value(s)Tue 12/05/20 | 09:09
Net Asset Value(s)Mon 11/05/20 | 09:00
Net Asset Value(s)Thu 07/05/20 | 08:51
Net Asset Value(s)Wed 06/05/20 | 09:27
Net Asset Value(s)Tue 05/05/20 | 10:43
Net Asset Value(s)Mon 04/05/20 | 09:26
Total Voting RightsFri 01/05/20 | 17:36
Net Asset Value(s)Fri 01/05/20 | 09:31
Net Asset Value(s)Thu 30/04/20 | 09:13
Net Asset Value(s)Wed 29/04/20 | 09:52
Net Asset Value(s)Tue 28/04/20 | 09:49
Net Asset Value(s)Mon 27/04/20 | 09:50
Net Asset Value(s)Fri 24/04/20 | 09:00
Net Asset Value(s)Thu 23/04/20 | 10:07
Transaction in Own SharesThu 23/04/20 | 07:00
Net Asset Value(s)Wed 22/04/20 | 10:58
Transaction in Own SharesWed 22/04/20 | 07:00
Net Asset Value(s)Tue 21/04/20 | 09:32
Net Asset Value(s)Mon 20/04/20 | 10:38
Net Asset Value(s)Fri 17/04/20 | 09:42
Net Asset Value(s)Thu 16/04/20 | 09:02
Net Asset Value(s)Wed 15/04/20 | 10:35
Net Asset Value(s)Tue 14/04/20 | 09:20
Net Asset Value(s)Thu 09/04/20 | 09:20
Net Asset Value(s)Wed 08/04/20 | 09:13
Net Asset Value(s)Tue 07/04/20 | 09:02
Dividend DeclarationTue 07/04/20 | 07:00
Net Asset Value(s)Mon 06/04/20 | 09:16
Share Buy-Back ProgrammeMon 06/04/20 | 07:00
Listing Rule 15.6.8Fri 03/04/20 | 10:29
Net Asset Value(s)Fri 03/04/20 | 09:01
Change of Name of Listing SponsorThu 02/04/20 | 15:57
Net Asset Value(s)Thu 02/04/20 | 11:54
Net Asset Value(s)Wed 01/04/20 | 09:00
Net Asset Value(s)Tue 31/03/20 | 14:26
Net Asset Value(s)Mon 30/03/20 | 10:46
Net Asset Value(s)Fri 27/03/20 | 09:46
Net Asset Value(s)Thu 26/03/20 | 09:00
Net Asset Value(s)Wed 25/03/20 | 09:00
Half-year ReportTue 24/03/20 | 15:01
Net Asset Value(s)Tue 24/03/20 | 09:00
Net Asset Value(s)Mon 23/03/20 | 09:19
Net Asset Value(s)Fri 20/03/20 | 11:21
Net Asset Value(s)Thu 19/03/20 | 09:00
Net Asset Value(s)Wed 18/03/20 | 09:00
Net Asset Value(s)Tue 17/03/20 | 09:00
Net Asset Value(s)Mon 16/03/20 | 09:00
Net Asset Value(s)Fri 13/03/20 | 09:11
Net Asset Value(s)Thu 12/03/20 | 09:26
Net Asset Value(s)Wed 11/03/20 | 10:10
Net Asset Value(s)Tue 10/03/20 | 09:14
Net Asset Value(s)Mon 09/03/20 | 09:19
Net Asset Value(s)Fri 06/03/20 | 09:44
Net Asset Value(s)Thu 05/03/20 | 09:00
Net Asset Value(s)Wed 04/03/20 | 09:09
Net Asset Value(s)Tue 03/03/20 | 09:22
Net Asset Value(s)Mon 02/03/20 | 09:03
Net Asset Value(s)Fri 28/02/20 | 09:58
Net Asset Value(s)Thu 27/02/20 | 10:19
Net Asset Value(s)Wed 26/02/20 | 09:00
Net Asset Value(s)Tue 25/02/20 | 09:00
Net Asset Value(s)Mon 24/02/20 | 11:04
Net Asset Value(s)Fri 21/02/20 | 09:02
Net Asset Value(s)Thu 20/02/20 | 10:12
Net Asset Value(s)Wed 19/02/20 | 09:00
Net Asset Value(s)Tue 18/02/20 | 09:00
Net Asset Value(s)Mon 17/02/20 | 09:06
Net Asset Value(s)Fri 14/02/20 | 09:00
Net Asset Value(s)Thu 13/02/20 | 09:00
Net Asset Value(s)Wed 12/02/20 | 08:59
Net Asset Value(s)Tue 11/02/20 | 09:00
Net Asset Value(s)Mon 10/02/20 | 09:58
Net Asset Value(s)Fri 07/02/20 | 09:28
Net Asset Value(s)Thu 06/02/20 | 09:00
Net Asset Value(s)Wed 05/02/20 | 09:00
Net Asset Value(s)Tue 04/02/20 | 09:00
Net Asset Value(s)Mon 03/02/20 | 10:39
Net Asset Value(s)Fri 31/01/20 | 09:00
Net Asset Value(s)Thu 30/01/20 | 09:00
Net Asset Value(s)Wed 29/01/20 | 14:58
Net Asset Value(s)Wed 29/01/20 | 14:55
Net Asset Value(s)Mon 27/01/20 | 13:03
Net Asset Value(s)Fri 24/01/20 | 09:00
Net Asset Value(s)Thu 23/01/20 | 09:00
Net Asset Value(s)Wed 22/01/20 | 09:02
Net Asset Value(s)Tue 21/01/20 | 09:00
Net Asset Value(s)Mon 20/01/20 | 09:07
Net Asset Value(s)Fri 17/01/20 | 09:00
Net Asset Value(s)Thu 16/01/20 | 09:00
Net Asset Value(s)Wed 15/01/20 | 09:10
Net Asset Value(s)Tue 14/01/20 | 09:00
Net Asset Value(s)Mon 13/01/20 | 09:00
Net Asset Value(s)Fri 10/01/20 | 09:00
Dividend DeclarationThu 09/01/20 | 11:48
Net Asset Value(s)Thu 09/01/20 | 09:00
Net Asset Value(s)Wed 08/01/20 | 09:00
Net Asset Value(s)Tue 07/01/20 | 09:00
Net Asset Value(s)Mon 06/01/20 | 09:00
Net Asset Value(s)Fri 03/01/20 | 09:00
Net Asset Value(s)Thu 02/01/20 | 09:00
Net Asset Value(s)Tue 31/12/19 | 09:00
Net Asset Value(s)Mon 30/12/19 | 09:00
Net Asset Value(s)Fri 27/12/19 | 09:00
Net Asset Value(s)Tue 24/12/19 | 09:00
Net Asset Value(s)Mon 23/12/19 | 09:00
Net Asset Value(s)Fri 20/12/19 | 09:00
Net Asset Value(s)Thu 19/12/19 | 09:00
Change of Listing Sponsor AnnouncementWed 18/12/19 | 15:15
Net Asset Value(s)Wed 18/12/19 | 09:00
Net Asset Value(s)Tue 17/12/19 | 09:00
Net Asset Value(s)Mon 16/12/19 | 09:00
Net Asset Value(s)Fri 13/12/19 | 09:00
Net Asset Value(s)Thu 12/12/19 | 09:00
Net Asset Value(s)Wed 11/12/19 | 09:00
Net Asset Value(s)Tue 10/12/19 | 09:00
Net Asset Value(s)Mon 09/12/19 | 09:00
Net Asset Value(s)Fri 06/12/19 | 09:00
Net Asset Value(s)Thu 05/12/19 | 09:00
Result of AGMWed 04/12/19 | 12:46
Net Asset Value(s)Wed 04/12/19 | 09:00
Net Asset Value(s)Tue 03/12/19 | 09:00
Net Asset Value(s)Mon 02/12/19 | 09:00
Net Asset Value(s)Fri 29/11/19 | 09:00
Director/PDMR ShareholdingThu 28/11/19 | 15:49
Net Asset Value(s)Thu 28/11/19 | 09:00
Net Asset Value(s)Wed 27/11/19 | 09:00
Net Asset Value(s)Tue 26/11/19 | 09:00
Director/PDMR ShareholdingMon 25/11/19 | 09:14
Net Asset Value(s)Mon 25/11/19 | 09:00
Net Asset Value(s)Fri 22/11/19 | 09:00
Net Asset Value(s)Thu 21/11/19 | 09:00
Net Asset Value(s)Wed 20/11/19 | 09:09
Net Asset Value(s)Tue 19/11/19 | 09:00
Net Asset Value(s)Mon 18/11/19 | 09:00
Net Asset Value(s)Fri 15/11/19 | 09:00
Net Asset Value(s)Thu 14/11/19 | 09:17
Net Asset Value(s)Wed 13/11/19 | 09:15
Net Asset Value(s)Tue 12/11/19 | 09:00
Net Asset Value(s)Mon 11/11/19 | 09:00
Net Asset Value(s)Fri 08/11/19 | 09:00
Net Asset Value(s)Thu 07/11/19 | 09:00
Net Asset Value(s)Wed 06/11/19 | 09:08
Net Asset Value(s)Tue 05/11/19 | 09:00
Submission of DocumentsMon 04/11/19 | 17:14
Net Asset Value(s)Mon 04/11/19 | 07:00
Net Asset Value(s)Fri 01/11/19 | 09:00
Net Asset Value(s)Thu 31/10/19 | 09:00
Net Asset Value(s)Wed 30/10/19 | 09:22
Net Asset Value(s)Tue 29/10/19 | 09:05
Net Asset Value(s)Mon 28/10/19 | 09:21
Net Asset Value(s)Fri 25/10/19 | 09:00
Net Asset Value(s)Thu 24/10/19 | 09:00
Annual Financial ReportThu 24/10/19 | 07:00
Net Asset Value(s)Wed 23/10/19 | 09:00
Net Asset Value(s)Tue 22/10/19 | 09:00
Net Asset Value(s)Mon 21/10/19 | 09:00
Net Asset Value(s)Fri 18/10/19 | 09:00
Net Asset Value(s)Thu 17/10/19 | 09:00
Net Asset Value(s)Wed 16/10/19 | 09:00
Net Asset Value(s)Tue 15/10/19 | 09:00
Net Asset Value(s)Mon 14/10/19 | 09:00
Net Asset Value(s)Fri 11/10/19 | 10:31
Net Asset Value(s)Thu 10/10/19 | 09:00
Net Asset Value(s)Wed 09/10/19 | 09:37
Net Asset Value(s)Tue 08/10/19 | 09:02
Net Asset Value(s)Mon 07/10/19 | 10:22
Net Asset Value(s)Fri 04/10/19 | 09:00
Dividend DeclarationThu 03/10/19 | 12:39
Net Asset Value(s)Thu 03/10/19 | 09:31
Listing Rule 15.6.8Wed 02/10/19 | 15:44
Net Asset Value(s)Wed 02/10/19 | 09:22
Net Asset Value(s)Tue 01/10/19 | 09:04
Net Asset Value(s)Mon 30/09/19 | 09:00
Net Asset Value(s)Fri 27/09/19 | 09:00
Net Asset Value(s)Thu 26/09/19 | 09:00
Net Asset Value(s)Wed 25/09/19 | 09:00
Net Asset Value(s)Tue 24/09/19 | 09:23
Net Asset Value(s)Mon 23/09/19 | 09:00
Net Asset Value(s)Fri 20/09/19 | 09:01
Net Asset Value(s)Thu 19/09/19 | 09:00
Net Asset Value(s)Wed 18/09/19 | 09:05
Net Asset Value(s)Tue 17/09/19 | 09:00
Net Asset Value(s)Mon 16/09/19 | 09:11
Net Asset Value(s)Fri 13/09/19 | 09:00
Net Asset Value(s)Thu 12/09/19 | 09:00
Net Asset Value(s)Wed 11/09/19 | 09:11
Net Asset Value(s)Tue 10/09/19 | 09:24
Net Asset Value(s)Mon 09/09/19 | 10:01
Net Asset Value(s)Fri 06/09/19 | 09:48
Net Asset Value(s)Thu 05/09/19 | 09:00
Net Asset Value(s)Wed 04/09/19 | 09:03
Net Asset Value(s)Tue 03/09/19 | 09:00
Net Asset Value(s)Mon 02/09/19 | 09:00