Aberdeen New Thai
Data as at: 21/01/2021
Please note, some investment companies release their Net Asset Values (NAVs) less frequently than daily. For example they may provide NAVs on a weekly, monthly, quarterly or even semi-annual basis. This means that the estimated NAV shown below, and the associated discount/premium to market price, will not necessarily reflect recent market movements.
Total assets (m) | Price (last close) | Price (bid) | Price (offer) | NAV | Dividend dates | Discount / premium (%) | Gearing (%) | 5yr dividend growth (%) p.a. | Dividend yield (%) |
---|---|---|---|---|---|---|---|---|---|
95.57 | 453.00 | 448.00 | 458.00 | 526.84 | Jun, Dec | -14.0 | 9 | 18.3 | 4.2 |
Dividends
Dividends displayed in traded currency.
Ex-Dividend date | Dividend amount | Dividend type | Special dividend | Financial year |
---|---|---|---|---|
29/10/2020 | 8.000 | Income | No | 2021 |
28/05/2020 | 11.000 | Income | No | 2020 |
Dividend cover (years) | Revenue reserves (m) |
---|---|
1.40 | 4.33 |
Wrapper schemes
Trading information
ISIN | TIDM | Traded currency |
---|---|---|
GB0000059971 | ANW | GBX |
Traded volumes (number of shares)
Yesterday | 1 month | 1 year | 5 years | |
---|---|---|---|---|
Total | 6,724 | 344,852 | 2,583,172 | 16,862,711 |
Average | N/A | 17,243 | 10,170 | 13,257 |
Traded values (m)
Yesterday | 1 month | 1 year | 5 years | |
---|---|---|---|---|
Total | 0.03 | 1.58 | 11.26 | 84.61 |
Average | N/A | 0.08 | 0.04 | 0.07 |
Data provided by Morningstar.
Company documents provided by FE fundinfo.