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Objective is to provide capital returns and growth on a portfolio managed in two parts. The first part comprises investments in UK equities and equity related securities of large and mid-sized companies (80%); the second part comprises investments in fixed interest and other higher yielding stocks and securities (20%) The capital structure of the company is divided between A shares (ICTA), B shares (ICTB) and Units (ICTU). Only A shares are entitled to dividends paid by the Company. B shares, instead of receiving dividends, receive a capital return at the same time as, and in an amount equal to, each dividend paid on the A shares. For certain shareholders, there may be tax or other advantages in receiving a capital return rather than a dividend. Each Unit comprises three A shares and one B share.
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F & C UK High Income Trust B Shares - (FHIB) share price history
Date Open High Low Close Volume
01/02/2018 107.00 107.00 105.22 106.00 2,964
30/01/2018 106.20 106.20 106.00 106.00 25,000
29/01/2018 108.00 108.00 107.00 107.00 31,128
25/01/2018 105.00 107.00 105.00 106.00 26,655
24/01/2018 107.00 107.00 106.00 106.00 3,292
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Top Volume Equity Investment Instruments Shares Price %Chng
Powerhouse Energy Group 1.32 -7.69%
HICL Infrastructure 125.00 -1.57%
Aberdeen Diversified Income and Growth Trust 45.40 -0.66%
The Renewables Infrastructure Group Limited 99.30 -1.29%
International Public Partnerships Ltd. 130.60 -0.91%
Twentyfour Income Fund Limited Ord Red 106.20 0.00%
Sequoia Economic Infrastructure Income Fund Limited 80.00 0.00%
Templeton Emerging Markets Inv Trust 167.40 -0.36%
BBGI Global Infrastructure S.A. NPV (DI) 137.80 -1.01%
JPMorgan Emerging Markets Inv Trust 110.60 0.73%
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Data for F & C UK High Income Trust B Shares is end of day only and updates after midnight GMT. Data is gathered from historic databases such as Quandl and other reliable sources, however errors do occur. Please use for information purposes only.
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