TCL TCL- Net Asset value as at 13 September 2017 |
15/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Dividend Declaration |
15/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 12 September 2017 |
14/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
13/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 11 September 2017 |
13/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset value as at 8 September 2017 |
12/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset value as at 7 September 2017 |
11/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Issue of Equity |
11/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset value as at 6 September 2017 |
08/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset value as at 5 September 2017 |
07/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
07/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
06/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 4 September 2017 |
06/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset value as at 1 September 2017 |
05/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset value as at 31 August 2017 |
04/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
04/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset value as at 30 August 2017 |
01/09/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset value as at 29 August 2017 |
31/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 25 August 2017 |
30/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
30/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 24 August 2017 |
28/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset Value as at 23 August 2017 |
25/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 22 August 2017 |
24/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net asset value as at 21 August 2017 |
23/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 18 August 2017 |
22/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 17 August 2017 |
21/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 16 August 2017 |
18/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 15 August 2017 |
17/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 14 August 2017 |
16/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset Value as at 11 August 2017 |
15/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset Value as at 10 August 2017 |
14/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 9 August 2017 |
11/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 8 August 2017 |
10/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 7 August 2017 |
09/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 4 July 2017 |
08/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
08/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset Value as at 3 August 2017 |
07/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
04/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset Value as at 2 August 2017 |
04/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 1 August 2017 |
03/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 31 July 2017 |
02/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 28 July 2017 |
01/08/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 27 July 2017 |
31/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 26 July 2017 |
28/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 25 July 2017 |
27/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 24 July 2017 |
26/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 21 July 2017 |
25/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 20 July 2017 |
24/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 19 July 2017 |
21/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Dividend Declaration |
21/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
20/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset value as at 18 July 2017 |
20/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 17 July 2017 |
19/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 14 July 2017 |
18/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
18/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 13 July 2017 |
17/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 12 July 2017 |
14/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 11 July 2017 |
13/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 10 July 2017 |
12/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset Value as at 7 July 2017 |
11/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
10/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset values as at 6 July 2017 |
10/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
07/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL- Net Asset Value as at 5 July 2017 |
07/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
06/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 4 July 2017 |
06/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL-Net Asset Value as at 3 July 2017 |
05/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL Net Asset values as at 30 June 2017 |
04/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Total Voting Rights |
04/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL Net Asset Value as at 29 June 2017 |
03/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
03/07/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 28 June 2017 |
30/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
30/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 27 June 2017 |
29/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
29/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 26 June 2017 |
28/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 23 June 2017 |
27/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 22 June 2017 |
26/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 21 June 2017 |
23/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 20 June 2017 |
22/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 19 June 2017 |
21/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 16 June 2017 |
20/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 15 June 2017 |
19/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 14 June 2017 |
16/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Issue of Equity |
15/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 13 June 2017 |
15/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 12 June 2017 |
14/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 9 June 2017 |
13/06/17 | PRICE SENSITIVE | | Share |
|
TCL 8 June 2017 |
12/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 7 June 2017 |
09/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 5 June 2017 |
07/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 1 June 2017 |
06/06/17 | PRICE SENSITIVE | | Share |
|
TCL Issue of Equity |
06/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 2 June 2017 |
06/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 31 May 2017 |
02/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 30 May 2017 |
01/06/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 25 May 2017 |
29/05/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 24 May 2017 |
26/05/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 22 May 2017 |
24/05/17 | PRICE SENSITIVE | | Share |
|
TCL TCL - Net Asset Value as at 19 May 2017 |
23/05/17 | PRICE SENSITIVE | | Share |