Objective
To provide growth in income and capital to achieve a long-term total return greater than the benchmark FTSE All-Share Index, through investment primarily in UK securities.
Launch date
24/06/1926
Domicile
United Kingdom
Fund manager
Nicholas Purves, Ian Lance
Dividend frequency
Quarterly
Wind-up provisions
The Company has an unlimited life.
Market Cap (m) Total assets (m) Price (last close) NAV Discount / premium (%) Gearing (%) Dividend yield (%) Dividend dates Ongoing charge (%)
1,070.41 1,121.28 370.00 365.89 1.12 5 4.05 Mar, Jun, Sep, Dec 0.61 (31/12/2024)
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Dividends

Dividends declared in last 12 months

Ex-dividend date Payment date Dividend amount Special dividend Financial year
20/11/2025 30/12/2025 3.750 No 2025
21/08/2025 26/09/2025 3.750 No 2025
29/05/2025 27/06/2025 3.750 No 2025
06/03/2025 02/04/2025 3.000 No 2024
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Performance (%)

Return type 1 year 3 years 5 years 10 years
Temple Bar Investment Trust Share price total return 41.8 93.0 146.0 173.3
UK Equity Income AIC sector Share price total return 16.3 36.1 61.0 114.2
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Share structure

Number of shares
289,299,378

Traded volumes (number of shares)

  Yesterday 1 month 1 year 5 years
Total 1,243,767 20,435,477 194,394,840 868,180,300
Average N/A 928,885 768,359 688,486
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Traded values (m)

  Yesterday 1 month 1 year 5 years
Total 4.60 75.13 629.75 2,183.30
Average N/A 3.42 2.49 1.73
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Trading details

ISIN Ticker Traded currency Stock exchange
GB00BMV92D64 TMPL GBX London Stock Exchange - MAIN
Chi-x Europe Limited
London Stock Exchange
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Top holdings

Data as at : 31/10/2025

Investment % of total assets
Johnson Matthey PLC 5.6
Shell PLC 4.9
BP PLC 4.2
NatWest Group PLC 4.1
Smith & Nephew PLC 4.0
Marks & Spencer Group PLC 4.0
Aviva PLC 3.9
NN Group NV 3.8
BT Group PLC 3.7
Standard Chartered PLC 3.6

Morningstar logo Data provided by Morningstar.

FE fundinfo logo Company documents provided by FE fundinfo.