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Aurora Investment Trust

Current Price 211.50p Bid 208.00p Ask 214.00p Change 0.00%
Last Updated: 18/11/2019 18:49. Prices delayed by at least 15 minutes.
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Company Overview

Aurora Investment Trust plc's objective is to provide shareholders with long term returns through capital and income growth. Phoenix Asset Management Partners Limited (Phoenix) was appointed Investment Manager on 28 January 2016. Phoenix currently seeks to achieve the Objective by investing in a portfolio of UK listed equities. The portfolio will remain relatively concentrated. The exact number of individual holdings will vary over time but typically the portfolio will consist of 15 to 20 holdings. The Board is seeking shareholder approval at the AGM to increase the flexibility of the Company to invest outside the UK and in unlisted securities.

Financial Highlights Year Ended 31/12/2018

Turnover
£0.00m
Operating Profit
£0.00m
Dividend Yield
1.90
Dividend Per Share
4.00
Dividend Cover
1.25
P/E Ratio
42.29

Key Personnel

Steven David Tatters
Non-Executive Director
David Clive Stevenson
Non-Executive Director
James Jonathan Nelson
Non-Executive Director
Richard Macintyre Martin
Non-Executive Director
Howard Emerson Flight
Non-Executive Director

Stock Details

EPIC
ARR
ISIN
GB0000633262
Shares in Issue
65,207,056
Market cap
£137.59m

Analyst Views (0)

Strong Buy
 
0.00%
Buy
 
0.00%
Hold
 
0.00%
Sell
 
0.00%
Strong Sell
 
0.00%
The above information represents a selection of the views published in the last 120 days by analysts. It is subject to change without notice and doesn't reflect view held by Redmayne Bentley and is not advice.

Price Summary

Mid Price
211.00p
Bid Price
208.00p
Ask Price
214.00p
Volume
101601
Change Today
0.00p
% Change Today
0.00%
Open
211.42p
Previous Close
211.00p
Intraday High
211.92p
Intraday Low
208.76p
52 Week High
214.00p
52 Week Low
177.50p
52 week high and low figures quoted above are calculated from intraday price data.

Intra-Day Chart

Aurora Investment Trust Intra-day Chart

Aurora Investment Trust News

News in this section is provided by AJ Bell

Assets (£m)

Data has been provided by AJ Bell

Reporting Date
31 Dec 2018
31 Dec 2017
Tangible Assets
0.0
0.0
Intangible Assets & Goodwill
0.0
0.0
Investments & Other Non-Current Assets
98.6
82.6
Total Non-Current Assets
98.6
82.6
Inventory
0.0
0.0
Trade & Receivables
0.5
0.4
Cash & Receivables
2.0
4.5
Other Current Assets & Assets Held for Resale
0.0
0.0
Total Assets
101.1
87.5

Liabilities (£m)

Data has been provided by AJ Bell

Reporting Date
31 Dec 2018
31 Dec 2017
Short Term Liabilities
0.1
0.1
Long Term Liabilities
0.0
0.0
Other Liabilities / Pension etc
0.0
0.0
Total Liabilities
0.1
0.1

Net Assets (£m)

Data has been provided by AJ Bell

Reporting Date
31 Dec 2018
31 Dec 2017
Net Assets
101.0
87.4

Equity (£m)

Data has been provided by AJ Bell

Reporting Date
31 Dec 2018
31 Dec 2017
Share Capital
13.9
10.6
Minority Interests
0.0
0.0
Retained Earnings
2.8
1.6
Share Premium Account
77.8
54.0
Other Equity
6.5
21.1
Total Equity
101.0
87.4

Cashflow (£m)

Data has been provided by AJ Bell

Reporting Date
31 Dec 2018
31 Dec 2017
Cashflow from Operating Activities
-28.2
-20.9
Cashflow Before Financing
-28.2
-20.1
Increase / Decrease in Cash
-2.5
3.1

Income (£m)

Data has been provided by AJ Bell

Reporting Date
31 Dec 2018
31 Dec 2017
Turnover
0.0
12.3
Cost of Sales
0.0
0.0
Gross Profit
0.0
0.0
Operating Profit
0.0
0.0
Pre-Tax Profit
182.2
205.7
Profit / Loss for the Year
0.0
0.0

Dividend History

Data has been provided by AJ Bell

Period
Ex-Dividend Date
Payment Date
H2 Dividend
02 May 2019
19 Jun 2019
H2 Dividend
26 Apr 2018
19 Jun 2018
H2 Dividend
09 Mar 2017
10 Apr 2017
H2 Dividend
23 Jun 2016
22 Jul 2016
H2 Dividend
18 Jun 2015
27 Jul 2015
The value of your investments and the income from them may go down as well as up, and you could get back less than you invested.
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