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BCGR Blue Capital

1.00
0.00 (0.00%)
19 Apr 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Stock Type
Blue Capital BCGR London Ordinary Share
  Price Change Price Change % Share Price Last Trade
0.00 0.00% 1.00 01:00:00
Open Price Low Price High Price Close Price Previous Close
1.00 1.00
more quote information »

Blue Capital BCGR Dividends History

No dividends issued between 19 Apr 2014 and 19 Apr 2024

Top Dividend Posts

Top Posts
Posted at 04/11/2016 07:37 by jonwig
Tender offer, complicated! ...
Posted at 21/10/2016 07:46 by jonwig
Hurricane Matthew, which devastated parts of the Caribbean before battering the U.S. East Coast, may cost insurers as much as $8.8 billion, according to AIR Worldwide.

The catastrophe-modeling firm estimates insured losses range from $2.2 billion to $6.8 billion for the U.S. and from $600 million to $2 billion for the Caribbean.
...
At $8.8 billion of insured losses, Matthew wouldn’t make it to the top 10 list of the costliest claims for insurers and the re-insurers who help them shoulder risks.



May help explain why there has been no cautionary statement from BCGR or CAT.
Posted at 19/10/2016 16:27 by jonwig
September NAV published, 2.8% performance over the month. Tender offer should be between 1.09 and 1.12 I'd think. About time they announced this. And no comment on Matthew from either BCGR or CAT.
Posted at 17/12/2015 12:26 by jonwig
The discount here contrasts with the premium on CAT. The latter has been more rewarding, but it also has greater cat exposure, so risks also greater.

Target returns reduced to LIBOR + 8% but management fees down too. Dividend policy unchanged at LIBOR + 6%.
Posted at 12/9/2013 08:59 by jonwig
BCGR listed on the the London Stock Exchange's Specialist Fund Market ("SFM") (ticker: BCGR) and the Bermuda Stock Exchange on 6 December 2012, raising $100.1 million. The Company subsequently raised $52.3 million pursuant to the First Closing under the Placing Programme in May 2013. The Company provides investors with the opportunity to access the global catastrophe reinsurance market and to invest in an alternative asset class whose returns have historically been largely uncorrelated to those of other asset classes, including global equities, bonds and hedge funds.
...
The Company is targeting an annualised dividend yield of LIBOR plus 6 per cent. per annum on the Issue Price of the Ordinary Shares and a net return to Shareholders (comprised of dividends and other distributions to Shareholders together with increases in the Company's Net Asset Value) of LIBOR plus 10 per cent. per annum to be achieved over the longer term, net of fees.

Latest NAV (July 2013) $1.0158.
Posted at 19/3/2013 08:06 by jonwig
Please go to:



~~~~~~~~~~~~~~~~~~~~


Significant Holdings at 23/03/13 (total 100.1m shs)
Montpelier Re .......... 50,000,000 50.0%
F&C Asset Management ... 15,100,000 15.1%
Baillie Gifford ........ 10,010,000 10.0%

~~~~~~~~~~~~~~~~~~~


NAV monthly:
31/03/14 ... $1.0362
30/04 ...... $1.0352
31/05 ...... $1.0379
30/06 ...... $1.0416
31/07 ...... $1.0551
31/08 ...... $1.0429 (xd $0.032)
30/09 ...... $1.0682
31/10 ...... $1.0804
30/11 ...... $1.0831
31/12 ...... $1.0882
31/01/15 ... $1.0582 (xd $0.033)
28/02 ...... $1.0610
31/03 ...... $1.0637
30/04 ...... $1.0656
30/05 ...... $1.0673
30/06 ...... $1.0751
31/07 ...... $1.0496 (xd $0.033)
31/08 ...... $1.0701
30/09 ...... $1.0919
31/10 ...... $1.1092
31/11 ...... $1.1147
31/12 ...... $1.1217
31/01/16 ... $1.0935 (xd $0.033)
29/02 ...... $1.0967
31/03 ...... $1.1003
30/04 ...... $1.1019
31/05 ...... $1.0816
30/06 ...... $1.0871
31/07 ...... $1.0663 (xd $0.033)
31/08 ...... $1.0933
30/09 ...... $1.1239
31/10 ...... $1.1216
30/11 ...... $1.1331
31/12 ...... $1.1434
31/01 ...... $1.1180 (xd $0.033)
28/02 ...... $1.1207
31/03 ...... $1.1048
Red shs:
31/01 ...... $1.1345
28/02 ...... $1.1288
31/03 ...... $1.1257

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