Share Name Share Symbol Market Type Share ISIN Share Description
The European Investment Trust Plc LSE:EUT London Ordinary Share GB0003295010 ORD 25P
  Price Change % Change Share Price Shares Traded Last Trade
  0.00 0.0% 861.00 0.00 01:00:00
Bid Price Offer Price High Price Low Price Open Price
856.00 866.00
Industry Sector Turnover (m) Profit (m) EPS - Basic PE Ratio Market Cap (m)
Equity Investment Instruments 14.52 13.42 31.00 27.8 347
Last Trade Time Trade Type Trade Size Trade Price Currency
- O 0 861.00 GBX

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Date Time Title Posts
28/11/201913:03Discount to NAV + dividend!35

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The European Investment Daily Update: The European Investment Trust Plc is listed in the Equity Investment Instruments sector of the London Stock Exchange with ticker EUT. The last closing price for The European Investment was 861p.
The European Investment Trust Plc has a 4 week average price of 0p and a 12 week average price of 0p.
The 1 year high share price is 0p while the 1 year low share price is currently 0p.
There are currently 40,244,369 shares in issue and the average daily traded volume is 0 shares. The market capitalisation of The European Investment Trust Plc is £346,504,017.09.
shieldbug: EUT to be managed by Baillie Gifford. Bought this as a value trust and don't really want a European growth trust. However, I have previously held the Baillie gifford European Fund and made money - the team have some success behind them.
mach100: Ticking up nicely and I am averaging up. I think this could hit 800p. The share buybacks help liquidity of course. The discount to NAV is narrowing AT 825P in September but still well above today's share price The weakening pound should be good news too.
praipus: NAV of £2.8433 share price £2.39 ish Euro Utilities Net Asset Value(s) EUROPEAN UTILITIES TRUST PLC The net asset value per Ordinary Income share of European Utilities Trust plc as at the close of business on 15 December 2006 was 284.33p. The net asset value per Zero Dividend Preference share of European Utilities Trust plc was 295.30p Funds under management were £38,886,656. The portfolio has been valued using bid prices. Movements in the fair value of the Company's derivative financial instrument is recognised in the net asset value. This comprises of an interest rate swap associated with the Company's borrowings. The analysis of the gross assets less current liabilities at 15 December 2006 by geographical area is as follows: Czech Republic 5% France 14% Germany 16% Italy 9% Portugal 4% Spain 13% United Kingdom 26% Cash 13% 100% END
praipus: Undiluted NAV £2.19 graph still scarey but price looking ok
praipus: Aparently when the French first started buying water companies they used to wait for Ofwat to have a go let the share price drop then buy 29% in the market easy if you are/can be a long term.
praipus: Interesting question. Have seen other trusts combat excessive discount to NAV with cash offers etc...for example ECWC is offering a 50% cash tender offer in July next year to Capital Share holders. Does this answer your question ?
The European Investment share price data is direct from the London Stock Exchange
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