MVIR

MARWYN VALUE INVESTORS LIMITED REALISATION SHS 0.0001P

TitleTime
Net Asset ValueThu 21/05/20 | 17:27
Net Asset ValueThu 14/05/20 | 17:59
Net Asset ValueFri 01/05/20 | 11:51
Audited Financial Statements December 2019Thu 30/04/20 | 16:48
Net Asset ValueFri 24/04/20 | 08:59
Net Asset ValueWed 15/04/20 | 17:42
Net Asset ValueFri 03/04/20 | 10:27
Net Asset ValueThu 26/03/20 | 14:50
Net Asset ValueFri 20/03/20 | 15:24
Net Asset ValueFri 13/03/20 | 10:52
Net Asset ValueFri 06/03/20 | 12:40
Net Asset ValueFri 28/02/20 | 10:47
Net Asset ValueThu 20/02/20 | 16:32
Net Asset ValueFri 14/02/20 | 12:19
Net Asset ValueFri 07/02/20 | 16:44
Net Asset ValueFri 31/01/20 | 11:40
Net Asset ValueFri 24/01/20 | 15:53
Net Asset ValueWed 15/01/20 | 15:05
Net Asset ValueMon 06/01/20 | 15:53
Net Asset ValueTue 24/12/19 | 07:00
Net Asset ValueThu 19/12/19 | 17:25
Net Asset ValueFri 13/12/19 | 16:09
Notification of major interests in sharesThu 12/12/19 | 16:00
Partial Cash Redemption of Realisation SharesFri 06/12/19 | 15:48
Net Asset ValueFri 06/12/19 | 13:20
Net Asset ValueFri 29/11/19 | 16:23
Returns to Realisation ShareholdersFri 22/11/19 | 16:33
Net Asset ValueFri 22/11/19 | 15:51
Net Asset ValueThu 14/11/19 | 15:35
Completion of cash offer for BCA Marketplace plcWed 06/11/19 | 12:01
Net Asset ValueFri 01/11/19 | 17:00
Net Asset ValueFri 25/10/19 | 16:39
Net Asset ValueMon 14/10/19 | 17:40
Net Asset ValueFri 04/10/19 | 16:48
Net Asset ValueThu 26/09/19 | 17:24
Net Asset ValueFri 20/09/19 | 18:02
Net Asset ValueFri 13/09/19 | 07:00
Result of AGMTue 03/09/19 | 12:29
Net Asset ValueFri 30/08/19 | 17:25
Net Asset ValueFri 23/08/19 | 16:08
Notice of AGMMon 12/08/19 | 07:00
Net Asset ValueFri 09/08/19 | 09:56
Net Asset ValueFri 02/08/19 | 13:23
Net Asset ValueFri 26/07/19 | 15:31
Net Asset ValueFri 19/07/19 | 14:37
Net Asset ValueFri 12/07/19 | 18:09
Net Asset ValueFri 05/07/19 | 17:08
Net Asset ValueFri 28/06/19 | 16:59
Net Asset ValueFri 21/06/19 | 16:52
Statement in relation to BCA Marketplace plcThu 20/06/19 | 18:31
Net Asset ValueThu 13/06/19 | 17:29
Net Asset ValueFri 31/05/19 | 16:12
Net Asset ValueFri 24/05/19 | 16:14
Net Asset ValueWed 15/05/19 | 17:16
Net Asset ValueThu 02/05/19 | 15:51
Net Asset ValueFri 26/04/19 | 16:22
Net Asset ValueThu 18/04/19 | 16:27
Net Asset ValueFri 12/04/19 | 17:23
Net Asset ValueFri 05/04/19 | 16:56
Annual Financial Report December 2018Mon 01/04/19 | 12:44
Net Asset ValueFri 29/03/19 | 12:35
Net Asset ValueFri 22/03/19 | 16:23
Net Asset ValueThu 14/03/19 | 15:12
Net Asset ValueFri 01/03/19 | 12:30
Net Asset ValueThu 21/02/19 | 10:38
Net Asset ValueThu 14/02/19 | 16:08
Statement re media coverageMon 04/02/19 | 07:00
Net Asset ValueFri 01/02/19 | 16:04
Net Asset ValueFri 25/01/19 | 16:18
Net Asset ValueTue 15/01/19 | 16:45
Additional investment in ZegonaMon 14/01/19 | 17:41
Net Asset ValueFri 28/12/18 | 07:00
Net Asset ValueFri 21/12/18 | 09:35
Net Asset ValueFri 07/12/18 | 15:19
Net Asset ValueFri 30/11/18 | 16:06
Net Asset ValueFri 23/11/18 | 15:26
Net Asset ValueWed 14/11/18 | 15:00
Net Asset ValueFri 02/11/18 | 15:57
Net Asset ValueFri 26/10/18 | 16:18
Net Asset ValueFri 19/10/18 | 16:58
Partial Cash Redemption of Realisation SharesTue 16/10/18 | 16:28
Net Asset ValueFri 12/10/18 | 16:58
Net Asset ValueFri 05/10/18 | 15:11
Net Asset ValueFri 28/09/18 | 15:51
Unaudited Interim Results 2018Wed 26/09/18 | 07:00
Returns to Realisation shareholdersTue 25/09/18 | 16:37
Net Asset ValueFri 21/09/18 | 16:33
Net Asset ValueThu 13/09/18 | 17:03
Net Asset ValueFri 31/08/18 | 15:57
Net Asset ValueThu 23/08/18 | 16:46
Net Asset ValueFri 10/08/18 | 15:09
Net Asset ValueThu 02/08/18 | 16:43
Notification of major holdingsThu 02/08/18 | 16:43
Net Asset ValueFri 27/07/18 | 14:46
Net Asset ValueFri 20/07/18 | 14:53
Net Asset ValueFri 13/07/18 | 16:08
Net Asset ValueFri 06/07/18 | 16:12
Net Asset ValueFri 29/06/18 | 13:45
Result of AGMTue 26/06/18 | 13:55
Net Asset ValueThu 21/06/18 | 15:45
Net Asset ValueThu 14/06/18 | 17:11
Notice of AGMTue 05/06/18 | 07:00
Net Asset ValueMon 04/06/18 | 11:21
Net Asset ValueThu 24/05/18 | 16:45
Net Asset ValueTue 15/05/18 | 15:31
Net Asset ValueThu 03/05/18 | 17:03
Net Asset ValueThu 26/04/18 | 16:50
Net Asset ValueMon 16/04/18 | 14:48
Annual Financial Report December 2017Wed 11/04/18 | 07:00
Net Asset ValueThu 29/03/18 | 17:00
Net Asset ValueFri 23/03/18 | 15:21
Net Asset ValueWed 14/03/18 | 14:14
Safe Harbour Holdings announces intention to floatThu 01/03/18 | 10:29
Net Asset ValueWed 28/02/18 | 17:33
Net Asset ValueThu 22/02/18 | 16:09
Net Asset ValueWed 14/02/18 | 16:16
Net Asset ValueFri 02/02/18 | 15:21
Net Asset ValueFri 26/01/18 | 15:43
Net Asset ValueMon 15/01/18 | 16:50
Net Asset ValueThu 21/12/17 | 16:48
Net Asset ValueMon 18/12/17 | 17:00
Net Asset ValueWed 13/12/17 | 14:56
Net Asset ValueThu 30/11/17 | 14:49
Net Asset ValueFri 24/11/17 | 14:19
Net Asset ValueTue 14/11/17 | 13:36
Net Asset ValueFri 03/11/17 | 17:02
Partial Cash Redemption of Realisation SharesTue 31/10/17 | 17:00
Net Asset ValueThu 26/10/17 | 15:06
Net Asset Value and Realisation Share RedemptionFri 20/10/17 | 16:41
Net Asset ValueFri 13/10/17 | 15:23
Partial Cash Redemption of Realisation SharesMon 09/10/17 | 09:26
Net Asset ValueFri 06/10/17 | 10:31
Net Asset ValueFri 29/09/17 | 16:07
Unaudited Interim Results 2017Wed 27/09/17 | 07:00
Net Asset ValueFri 22/09/17 | 12:10
Net Asset ValueThu 14/09/17 | 16:38
Net Asset ValueFri 01/09/17 | 15:50
Zegona Tender OfferWed 30/08/17 | 07:16
Net Asset ValueFri 25/08/17 | 14:02
Net Asset ValueMon 14/08/17 | 16:06
Net Asset ValueFri 04/08/17 | 15:29
Net Asset ValueFri 28/07/17 | 15:35
Net Asset ValueFri 21/07/17 | 16:41
Net Asset ValueFri 14/07/17 | 16:20
Net Asset ValueFri 07/07/17 | 09:01
Net Asset ValueFri 30/06/17 | 12:44
Net Asset ValueFri 23/06/17 | 15:26
Result of AGMTue 20/06/17 | 11:52