• Viewed 10,240 times by 3014 users (Last 30 days)
  • print Created with Sketch. Print

Announcements


Plus500
Plus500
ANNOUNCEMENT SPONSORED BY PLUS500
ANNOUNCEMENT SPONSORED BY PLUS500
CFD TRADING PLATFORM
CFD Service. Your Capital is at risk
CFD TRADING PLATFORM CFD Service. Your Capital is at risk
Plus500
ANNOUNCEMENT SPONSORED BY PLUS500
CFD TRADING PLATFORM CFD Service. Your Capital is at risk

TCL TCL - Net Asset Value as at 3 May 2017
TCL TCL - Issue of Equity
TCL TCL - Net Asset Value as at 2 May 2017
TCL TCL - Total Voting Rights
TCL TCL - Net Asset Value as at 28 April 2017
TCL TCL - Net Asset Value as at 27 April 2017
TCL TCL - Net Asset Value as at 26 April 2017
TCL TCL - Monthly Factsheet as at 31 March 2017PRICE SENSITIVE
TCL TCL - Net Asset Value as at 25 April 2017
TCL TCL - Issue of Equity
TCL TCL - Issue of Equity
TCL TCL - Net Asset Value as at 24 April 2017
TCL TCL - Net Asset Value as at 21 April 2017
TCL TCL - Net Asset Value as at 20 April 2017
TCL TCL - Net Asset Value as at 19 April 2017
TCL TCL - Issue of Equity
TCL TCL - Net Asset Value as at 18 April 2017
TCL TCL - Issue of Equity
TCL TCL - Net Asset Value as at 13 April 2017
TCL TCL - Net Asset Value as at 12 April 2017
TCL TCL - Net Asset Value as at 11 April 2017
TCL TCL - Net Asset Value as at 10 April 2017
TCL TCL - Net Asset Value as at 7 April 2017
TCL TCL - Net Asset Value as at 6 April 2017
TCL TCL - Dividend Declaration
TCL TCL - Net Asset Value as at 5 April 2017
TCL TCL - Net Asset Value as at 4 April 2017
TCL TCL - Portfolio Update
TCL TCL - Net Asset Value as at 3 April 2017
TCL TCL - Total Voting Rights
TCL TCL - Net Asset Values as at 31 March 2017
TCL TCL - Net Asset Value as at 30 March 2017
TCL TCL - Net Asset Value as at 29 March 2017
TCL TCL - Net Asset Value as at 28 March 2017
TCL TCL - Net Asset Value as at 27 March 2017
TCL TCL - Net Asset Value as at 24 March 2017
TCL TCL - Net Asset Value as at 23 March 2017
TCL TCL - Net Asset Value as at 22 March 2017
TCL TCL - Net Asset Value as at 21 March 2017
TCL TCL - Net Asset Value as at 20 March 2017
TCL TCL - Net Asset Values as at 17 March 2017
TCL TCL - Monthly Factsheet as at 28 February 2017PRICE SENSITIVE
TCL TCL - Net Asset Value as at 16 March 2017
TCL TCL - Director/PDMR Shareholding
TCL TCL - Net Asset Value as at 15 March 2017
TCL TCL - Net Asset Value as at 13 March 2017
TCL TCL - Net Asset Value as at 14 March 2017
TCL TCL - Net Asset Value as at 10 March 2017
TCL TCL - Net Asset Value as at 9 March 2017
TCL TCL - Net Asset Value as at 8 March 2017
TCL TCL - Net Asset Value as at 7 March 2017
TCL TCL - Net Asset Value as at 6 March 2017
TCL TCL - Net Asset Value as at 3 March 2017
TCL TCL - Net Asset Value as at 2 March 2017
TCL TCL - Net Asset Value as at 1 March 2017
TCL TCL - Issue of Equity
TCL TCL - Net Asset Value as at 28 February 2017
TCL TCL - Net Asset Value as at 27 February 2017
TCL TCL - Half-year Update
TCL TCL - Net Asset Value as at 24 February 2017
TCL TCL - Net Asset Value as at 23 February 2017
TCL TCL - Net Asset Value as at 22 February 2017
TCL TCL - Net Asset Value as at 21 February 2017
TCL TCL - Net Asset Value as at 20 February 2017
TCL TCL - Net Asset Value as at 17 February 2017
TCL TCL - Monthly Factsheet as at 31 January 2017PRICE SENSITIVE
TCL TCL - Net Asset Value as at 16 February 2017
TCL TCL - Half-year ReportPRICE SENSITIVE
TCL TCL - Net Asset Value as at 15 February 2017
TCL TCL - Net Asset Value as at 14 February 2017
TCL TCL - Net Asset Value as at 13 February 2017
TCL TCL - Net Asset Value as at 10 February 2017
TCL TCL - Net Asset Value as at 9 February 2017
TCL TCL - Net Asset Value as at 8 February 2017
TCL TCL - Net Asset Value as at 7 February 2017
TCL TCL - Net Asset Value as at 6 February 2017
TCL TCL - Net Asset Value as at 3 February 2017
TCL TCL - Net Asset Value as at 2 February 2017
TCL TCL - Net Asset Value as at 1 February 2017
TCL TCL - Net Asset Value as at 31 January 2017
TCL TCL - Net Asset Value as at 30 January 2017
TCL Net Asset Value as at 27 January 2017
TCL TCL - Net Asset Value as at 26 January 2017
TCL TCL - Net Asset Value as at 25 January 2017
TCL TCL - Net Asset Value as at 24 January 2017
TCL TCL - Net Asset Value as at 23 January 2017
TCL TCL - Net Asset Value as at 20 January 2017
TCL TCL - Net Asset Value as at 19 January 2017
TCL TCL - Net Asset Value as at 18 January 2017
TCL TCL - Monthly Factsheet as at 31 December 2016PRICE SENSITIVE
TCL TCL - Net Asset Value as at 17 January 2017
TCL TCL - Net Asset Value as at 16 January 2017
TCL TCL - Block listing Interim Review
TCL TCL - Compliance with Market Abuse Regulation
TCL TCL - Net Asset Value as at 13 January 2017
TCL TCL - Net Asset Value as at 12 January 2017
TCL TCL - Net Asset Values 11 January 2017
TCL TCL - Net Asset Value as at 10 January 2017
TCL TCL - Net Asset Value as at 9 January 2017
TCL TCL - Net Asset Value as at 6 January 2016
TCL TCL - Net Asset Value as at 3 May 2017
05/05/17
TCL TCL - Issue of Equity
04/05/17
TCL TCL - Net Asset Value as at 2 May 2017
04/05/17
TCL TCL - Total Voting Rights
03/05/17
TCL TCL - Net Asset Value as at 28 April 2017
03/05/17
TCL TCL - Net Asset Value as at 27 April 2017
01/05/17
TCL TCL - Net Asset Value as at 26 April 2017
28/04/17
TCL TCL - Monthly Factsheet as at 31 March 2017
27/04/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 25 April 2017
27/04/17
TCL TCL - Issue of Equity
27/04/17
TCL TCL - Issue of Equity
26/04/17
TCL TCL - Net Asset Value as at 24 April 2017
26/04/17
TCL TCL - Net Asset Value as at 21 April 2017
26/04/17
TCL TCL - Net Asset Value as at 20 April 2017
24/04/17
TCL TCL - Net Asset Value as at 19 April 2017
21/04/17
TCL TCL - Issue of Equity
21/04/17
TCL TCL - Net Asset Value as at 18 April 2017
20/04/17
TCL TCL - Issue of Equity
19/04/17
TCL TCL - Net Asset Value as at 13 April 2017
19/04/17
TCL TCL - Net Asset Value as at 12 April 2017
18/04/17
TCL TCL - Net Asset Value as at 11 April 2017
13/04/17
TCL TCL - Net Asset Value as at 10 April 2017
12/04/17
TCL TCL - Net Asset Value as at 7 April 2017
11/04/17
TCL TCL - Net Asset Value as at 6 April 2017
10/04/17
TCL TCL - Dividend Declaration
07/04/17
TCL TCL - Net Asset Value as at 5 April 2017
07/04/17
TCL TCL - Net Asset Value as at 4 April 2017
06/04/17
TCL TCL - Portfolio Update
05/04/17
TCL TCL - Net Asset Value as at 3 April 2017
05/04/17
TCL TCL - Total Voting Rights
04/04/17
TCL TCL - Net Asset Values as at 31 March 2017
04/04/17
TCL TCL - Net Asset Value as at 30 March 2017
03/04/17
TCL TCL - Net Asset Value as at 29 March 2017
31/03/17
TCL TCL - Net Asset Value as at 28 March 2017
30/03/17
TCL TCL - Net Asset Value as at 27 March 2017
29/03/17
TCL TCL - Net Asset Value as at 24 March 2017
28/03/17
TCL TCL - Net Asset Value as at 23 March 2017
27/03/17
TCL TCL - Net Asset Value as at 22 March 2017
24/03/17
TCL TCL - Net Asset Value as at 21 March 2017
23/03/17
TCL TCL - Net Asset Value as at 20 March 2017
22/03/17
TCL TCL - Net Asset Values as at 17 March 2017
21/03/17
TCL TCL - Monthly Factsheet as at 28 February 2017
21/03/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 16 March 2017
20/03/17
TCL TCL - Director/PDMR Shareholding
20/03/17
TCL TCL - Net Asset Value as at 15 March 2017
17/03/17
TCL TCL - Net Asset Value as at 13 March 2017
16/03/17
TCL TCL - Net Asset Value as at 14 March 2017
16/03/17
TCL TCL - Net Asset Value as at 10 March 2017
14/03/17
TCL TCL - Net Asset Value as at 9 March 2017
13/03/17
TCL TCL - Net Asset Value as at 8 March 2017
10/03/17
TCL TCL - Net Asset Value as at 7 March 2017
09/03/17
TCL TCL - Net Asset Value as at 6 March 2017
08/03/17
TCL TCL - Net Asset Value as at 3 March 2017
07/03/17
TCL TCL - Net Asset Value as at 2 March 2017
06/03/17
TCL TCL - Net Asset Value as at 1 March 2017
03/03/17
TCL TCL - Issue of Equity
02/03/17
TCL TCL - Net Asset Value as at 28 February 2017
02/03/17
TCL TCL - Net Asset Value as at 27 February 2017
01/03/17
TCL TCL - Half-year Update
28/02/17
TCL TCL - Net Asset Value as at 24 February 2017
28/02/17
TCL TCL - Net Asset Value as at 23 February 2017
27/02/17
TCL TCL - Net Asset Value as at 22 February 2017
24/02/17
TCL TCL - Net Asset Value as at 21 February 2017
23/02/17
TCL TCL - Net Asset Value as at 20 February 2017
22/02/17
TCL TCL - Net Asset Value as at 17 February 2017
21/02/17
TCL TCL - Monthly Factsheet as at 31 January 2017
20/02/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 16 February 2017
20/02/17
TCL TCL - Half-year Report
17/02/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 15 February 2017
17/02/17
TCL TCL - Net Asset Value as at 14 February 2017
16/02/17
TCL TCL - Net Asset Value as at 13 February 2017
15/02/17
TCL TCL - Net Asset Value as at 10 February 2017
14/02/17
TCL TCL - Net Asset Value as at 9 February 2017
13/02/17
TCL TCL - Net Asset Value as at 8 February 2017
10/02/17
TCL TCL - Net Asset Value as at 7 February 2017
09/02/17
TCL TCL - Net Asset Value as at 6 February 2017
08/02/17
TCL TCL - Net Asset Value as at 3 February 2017
07/02/17
TCL TCL - Net Asset Value as at 2 February 2017
07/02/17
TCL TCL - Net Asset Value as at 1 February 2017
03/02/17
TCL TCL - Net Asset Value as at 31 January 2017
02/02/17
TCL TCL - Net Asset Value as at 30 January 2017
01/02/17
TCL Net Asset Value as at 27 January 2017
31/01/17
TCL TCL - Net Asset Value as at 26 January 2017
30/01/17
TCL TCL - Net Asset Value as at 25 January 2017
27/01/17
TCL TCL - Net Asset Value as at 24 January 2017
26/01/17
TCL TCL - Net Asset Value as at 23 January 2017
25/01/17
TCL TCL - Net Asset Value as at 20 January 2017
24/01/17
TCL TCL - Net Asset Value as at 19 January 2017
23/01/17
TCL TCL - Net Asset Value as at 18 January 2017
20/01/17
TCL TCL - Monthly Factsheet as at 31 December 2016
20/01/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 17 January 2017
19/01/17
TCL TCL - Net Asset Value as at 16 January 2017
18/01/17
TCL TCL - Block listing Interim Review
18/01/17
TCL TCL - Compliance with Market Abuse Regulation
18/01/17
TCL TCL - Net Asset Value as at 13 January 2017
17/01/17
TCL TCL - Net Asset Value as at 12 January 2017
16/01/17
TCL TCL - Net Asset Values 11 January 2017
13/01/17
TCL TCL - Net Asset Value as at 10 January 2017
12/01/17
TCL TCL - Net Asset Value as at 9 January 2017
11/01/17
TCL TCL - Net Asset Value as at 6 January 2016
10/01/17
(20min delay)
Last
$7.94
Change
0.120(1.53%)
Mkt cap ! n/a
Open High Low Value Volume
$7.96 $7.98 $7.94 $79.47K 10.00K

Buyers (Bids)

No. Vol. Price($)
0 2500 $7.91
 

Sellers (Offers)

Price($) Vol. No.
$7.97 2500 0
Last trade - 12.42pm 28/03/2019 (20 minute delay) ?
arrow-down-2 Created with Sketch. arrow-down-2 Created with Sketch.