Taylor Maritime Investment Limited ORD NPV USD

Sector: IT Leasing

This fund does not subscribe to Trustnet.

Fund Objective

The fund objective is not currently available for this fund.

Key Information

Legal Structure: Investment Trusts
AIC Sector: IT Leasing (View more)
Benchmark: -
Market Value: £313.71m
Total Assets: -
Net gearing: 0.00% (-)
Shares in Issue: 330.22m
Fund Launch: 27.05.2021
Distribution Policy: inc
Domicile: Guernsey
Asset Class: Equity
Geographical Region: Global

Cumulative Performance

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Cumulative Performance

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Premium / Discount

Created with Highcharts 10.3.3Jul 2022Jan 2023Jul 2023Jan 2024Jul 2024-40%-30%-20%-10%0%21/01/2022 - 30/09/2024 Data from FE fundinfo
Taylor Maritime Investment Limited ORD NPV USD
Key Prem/Disc Prem/Disc Average Prem/Disc High Prem/Disc Low
Taylor Maritime Investment Limited ORD NPV USD -32.4 -27.7 -7 -37.2

Time Period

1 m 3 m 6 m 1 y 3 y

Discrete Performance

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Detailed Info

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