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

Corporate Spotlight
Not Yet Available

Are you a Company Director ?
Put your Investment Case to Hotcopper's 700K monthly unique visitors.

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

Filters [Clear]
  • Price Sensitive: Yes
TCL TCL - Half-year UpdatePRICE SENSITIVE
TCL TCL - Half-year ReportPRICE SENSITIVE
TCL TCL - Annual Financial ReportPRICE SENSITIVE
TCL TCL - Final ResultsPRICE SENSITIVE
TCL TCL - Block Listing Interim ReviewPRICE SENSITIVE download Created with Sketch. 10.4KB
TCL TCL- Net Asset Value as at 5 June 2018PRICE SENSITIVE download Created with Sketch. 5.26KB
TCL TCL - Issue of EquityPRICE SENSITIVE download Created with Sketch. 66.51KB
TCL TCL - Issue of EquityPRICE SENSITIVE download Created with Sketch. 66.52KB
TCL TCL- Net Asset Value as at 4 June 2018PRICE SENSITIVE download Created with Sketch. 5.08KB
TCL TCL - Additional ListingPRICE SENSITIVE
TCL TCL - Dividend DeclarationPRICE SENSITIVE
TCL TCL - Director DeclarationPRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset Value as at 15 March 2018PRICE SENSITIVE
TCL TCL- Net Asset Value as at 14 March 2018PRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset Value as at 13 March 2018PRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL - Half-year UpdatePRICE SENSITIVE
TCL TCL - Half-year ReportPRICE SENSITIVE
TCL TCL- Issue of EquityPRICE SENSITIVE
TCL TCL - Net Asset Value as at 9 February 2018PRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL - Net Asset Value as at 8 February 2018PRICE SENSITIVE
TCL TCL- Issue of EquityPRICE SENSITIVE
TCL TCL- Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset Value as at 5 February 2018PRICE SENSITIVE
TCL TCL - Net Asset Value as at 1 February 2018PRICE SENSITIVE
TCL TCL- Net Asset Value as at 25 January 2018PRICE SENSITIVE
TCL TCL- Net Asset Value as at 24 January 2018PRICE SENSITIVE
TCL TCL - Compliance with Market Abuse RegulationPRICE SENSITIVE
TCL TCL - Net Asset Value as at 12 January 2018PRICE SENSITIVE
TCL TCL - Net Asset Value as at 9 January 2018PRICE SENSITIVE
TCL TCL- Net Asset Value as at 19 December 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 13 December 2017PRICE SENSITIVE
TCL TCL - Dividend DeclarationPRICE SENSITIVE
TCL TCL- Issue of EquityPRICE SENSITIVE
TCL TCL - Net Asset Value as at 5 December 2017PRICE SENSITIVE
TCL CTY - Issue of SharesPRICE SENSITIVE
TCL TCL- Net Asset Value as at 27 November 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 22 November 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 14 November 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 13 November 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 10 November 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 9 November 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 7 November 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 6 November 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 3 November 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 2 November 2017PRICE SENSITIVE
TCL TCL- Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset Value as at 1 November 2017PRICE SENSITIVE
TCL TCL- Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset Value as at 31 October 2017PRICE SENSITIVE
TCL TCL- Net Asset Value as at 30 October 2017PRICE SENSITIVE
TCL Result of AGM 31 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 27 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 26 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 25 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 24 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 23 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 19 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 20 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 18 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 17 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 16 October 2017PRICE SENSITIVE
TCL TCL - Net Asset Value as at 13 October 2017PRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset value as at 12 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 11 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 10 October 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 9 October 2017PRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset value as at 6 October 2017PRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset value as at 5 October 2017PRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset value as at 4 October 2017PRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL - Net Asset Value as at 3 October 2017PRICE SENSITIVE
TCL TCL - Net Asset Value as at 2 October 2017PRICE SENSITIVE
TCL TCL - Net Asset Value as at 29 September 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 28 September 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 27 September 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 26 September 2017PRICE SENSITIVE
TCL TCL - Net Asset Value as at 25 September 2017PRICE SENSITIVE
TCL TCL- Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset value as at 22 September 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 21 September 2017PRICE SENSITIVE
TCL TCL- Final ResultsPRICE SENSITIVE
TCL TCL- Net Asset value as at 20 September 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 19 September 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 18 September 2017PRICE SENSITIVE
TCL TCL - Issue of EquityPRICE SENSITIVE
TCL TCL- Net Asset value as at 15 September 2017PRICE SENSITIVE
TCL TCL- Net Asset value as at 14 September 2017PRICE SENSITIVE
TCL TCL- Long Term Fixed Rate BorrowingPRICE SENSITIVE
TCL TCL - Half-year Update
26/02/19PRICE SENSITIVE
TCL TCL - Half-year Report
15/02/19PRICE SENSITIVE
TCL TCL - Annual Financial Report
08/10/18PRICE SENSITIVE
TCL TCL - Final Results
25/09/18PRICE SENSITIVE
TCL TCL - Block Listing Interim Review
23/07/18PRICE SENSITIVE download Created with Sketch. 10.4KB
TCL TCL- Net Asset Value as at 5 June 2018
07/06/18PRICE SENSITIVE download Created with Sketch. 5.26KB
TCL TCL - Issue of Equity
07/06/18PRICE SENSITIVE download Created with Sketch. 66.51KB
TCL TCL - Issue of Equity
06/06/18PRICE SENSITIVE download Created with Sketch. 66.52KB
TCL TCL- Net Asset Value as at 4 June 2018
06/06/18PRICE SENSITIVE download Created with Sketch. 5.08KB
TCL TCL - Additional Listing
30/04/18PRICE SENSITIVE
TCL TCL - Dividend Declaration
06/04/18PRICE SENSITIVE
TCL TCL - Director Declaration
05/04/18PRICE SENSITIVE
TCL TCL - Issue of Equity
22/03/18PRICE SENSITIVE
TCL TCL - Issue of Equity
22/03/18PRICE SENSITIVE
TCL TCL - Issue of Equity
20/03/18PRICE SENSITIVE
TCL TCL- Net Asset Value as at 15 March 2018
19/03/18PRICE SENSITIVE
TCL TCL- Net Asset Value as at 14 March 2018
16/03/18PRICE SENSITIVE
TCL TCL - Issue of Equity
15/03/18PRICE SENSITIVE
TCL TCL- Net Asset Value as at 13 March 2018
15/03/18PRICE SENSITIVE
TCL TCL - Issue of Equity
15/03/18PRICE SENSITIVE
TCL TCL - Half-year Update
07/03/18PRICE SENSITIVE
TCL TCL - Half-year Report
19/02/18PRICE SENSITIVE
TCL TCL- Issue of Equity
16/02/18PRICE SENSITIVE
TCL TCL - Net Asset Value as at 9 February 2018
13/02/18PRICE SENSITIVE
TCL TCL - Issue of Equity
13/02/18PRICE SENSITIVE
TCL TCL - Net Asset Value as at 8 February 2018
12/02/18PRICE SENSITIVE
TCL TCL- Issue of Equity
09/02/18PRICE SENSITIVE
TCL TCL- Issue of Equity
09/02/18PRICE SENSITIVE
TCL TCL- Net Asset Value as at 5 February 2018
07/02/18PRICE SENSITIVE
TCL TCL - Net Asset Value as at 1 February 2018
05/02/18PRICE SENSITIVE
TCL TCL- Net Asset Value as at 25 January 2018
29/01/18PRICE SENSITIVE
TCL TCL- Net Asset Value as at 24 January 2018
26/01/18PRICE SENSITIVE
TCL TCL - Compliance with Market Abuse Regulation
17/01/18PRICE SENSITIVE
TCL TCL - Net Asset Value as at 12 January 2018
16/01/18PRICE SENSITIVE
TCL TCL - Net Asset Value as at 9 January 2018
11/01/18PRICE SENSITIVE
TCL TCL- Net Asset Value as at 19 December 2017
21/12/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 13 December 2017
15/12/17PRICE SENSITIVE
TCL TCL - Dividend Declaration
14/12/17PRICE SENSITIVE
TCL TCL- Issue of Equity
13/12/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 5 December 2017
07/12/17PRICE SENSITIVE
TCL CTY - Issue of Shares
04/12/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 27 November 2017
29/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 22 November 2017
24/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 14 November 2017
16/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 13 November 2017
15/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 10 November 2017
14/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 9 November 2017
13/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 7 November 2017
09/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 6 November 2017
08/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 3 November 2017
07/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 2 November 2017
06/11/17PRICE SENSITIVE
TCL TCL- Issue of Equity
03/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 1 November 2017
03/11/17PRICE SENSITIVE
TCL TCL- Issue of Equity
03/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 31 October 2017
02/11/17PRICE SENSITIVE
TCL TCL- Net Asset Value as at 30 October 2017
01/11/17PRICE SENSITIVE
TCL Result of AGM 31 October 2017
01/11/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 27 October 2017
31/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 26 October 2017
30/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 25 October 2017
27/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 24 October 2017
26/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 23 October 2017
25/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 19 October 2017
24/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 20 October 2017
24/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 18 October 2017
20/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 17 October 2017
19/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 16 October 2017
18/10/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 13 October 2017
17/10/17PRICE SENSITIVE
TCL TCL - Issue of Equity
16/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 12 October 2017
16/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 11 October 2017
13/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 10 October 2017
12/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 9 October 2017
11/10/17PRICE SENSITIVE
TCL TCL - Issue of Equity
11/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 6 October 2017
10/10/17PRICE SENSITIVE
TCL TCL - Issue of Equity
10/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 5 October 2017
09/10/17PRICE SENSITIVE
TCL TCL - Issue of Equity
09/10/17PRICE SENSITIVE
TCL TCL - Issue of Equity
06/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 4 October 2017
06/10/17PRICE SENSITIVE
TCL TCL - Issue of Equity
06/10/17PRICE SENSITIVE
TCL TCL - Issue of Equity
05/10/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 3 October 2017
05/10/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 2 October 2017
04/10/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 29 September 2017
03/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 28 September 2017
02/10/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 27 September 2017
29/09/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 26 September 2017
28/09/17PRICE SENSITIVE
TCL TCL - Net Asset Value as at 25 September 2017
27/09/17PRICE SENSITIVE
TCL TCL- Issue of Equity
26/09/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 22 September 2017
26/09/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 21 September 2017
25/09/17PRICE SENSITIVE
TCL TCL- Final Results
25/09/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 20 September 2017
22/09/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 19 September 2017
21/09/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 18 September 2017
20/09/17PRICE SENSITIVE
TCL TCL - Issue of Equity
20/09/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 15 September 2017
19/09/17PRICE SENSITIVE
TCL TCL- Net Asset value as at 14 September 2017
18/09/17PRICE SENSITIVE
TCL TCL- Long Term Fixed Rate Borrowing
18/09/17PRICE SENSITIVE
(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.