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Home > England & Wales Companies > JUPITER GREEN INVESTMENT TRUST PLC
Company Information for

JUPITER GREEN INVESTMENT TRUST PLC

THE ZIG ZAG BUILDING, 70 VICTORIA STREET, LONDON, SW1E 6SQ,
Company Registration Number
05780006
Public Limited Company
Active

Company Overview

About Jupiter Green Investment Trust Plc
JUPITER GREEN INVESTMENT TRUST PLC was founded on 2006-04-12 and has its registered office in London. The organisation's status is listed as "Active". Jupiter Green Investment Trust Plc is a Public Limited Company registered in with Companies House and the accounts submission requirement is categorised as FULL
  • Annual turnover is £6.5 million or more
  • The balance sheet total is £ 3.26 million or more
  • Employs 50 or more employees
  • May be publically listed
  • May be a member of a group of companies meeting any of the above criteria
Key Data
Company Name
JUPITER GREEN INVESTMENT TRUST PLC
 
Legal Registered Office
THE ZIG ZAG BUILDING
70 VICTORIA STREET
LONDON
SW1E 6SQ
Other companies in SW1X
 
Previous Names
JUPITER GREEN CENTURY INVESTMENT TRUST PLC27/04/2006
Filing Information
Company Number 05780006
Company ID Number 05780006
Date formed 2006-04-12
Country 
Origin Country United Kingdom
Type Public Limited Company
CompanyStatus Active
Lastest accounts 31/03/2023
Account next due 30/09/2024
Latest return 12/04/2016
Return next due 10/05/2017
Type of accounts FULL
Last Datalog update: 2024-05-05 09:35:00
Primary Source:Companies House
There are multiple companies registered at this address, the registered address may be the accountant's offices for JUPITER GREEN INVESTMENT TRUST PLC
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Company Officers of JUPITER GREEN INVESTMENT TRUST PLC

Current Directors
Officer Role Date Appointed
JUPITER ASSET MANAGEMENT LIMITED
Company Secretary 2006-04-24
SIMON JOHN DONNE BAKER
Director 2015-07-01
POLLY COURTICE
Director 2006-04-24
MICHAEL ANTHONY NAYLOR
Director 2009-07-03
Previous Officers
Officer Role Date Appointed Date Resigned
CHARLES DONALD CROLE
Director 2012-12-20 2015-09-02
PEREGRINE KENNETH OUGHTON CROSTHWAITE
Director 2006-04-24 2015-09-02
TRISTAN PATRICK ALAN HILLGARTH
Director 2006-04-24 2012-12-20
ALEXANDER SIMON HOARE
Director 2006-04-24 2009-09-08
SH COMPANY SECRETARIES LIMITED
Company Secretary 2006-04-12 2006-04-24
ANTHONY MARK EDWARDS
Director 2006-04-12 2006-04-24
MARSHA KRISTIN FERGUSON-YARDE
Director 2006-04-12 2006-04-24

Related Directorships

Officer Related Company Role Date Appointed Role StatusIncorporation dateCompany Status
JUPITER ASSET MANAGEMENT LIMITED JUPITER EMERGING & FRONTIER INCOME TRUST PLC Company Secretary 2017-04-04 CURRENT 2017-04-04 Liquidation
JUPITER ASSET MANAGEMENT LIMITED JUPITER FUND MANAGEMENT GROUP LIMITED Company Secretary 2007-03-13 CURRENT 2007-03-13 Active
JUPITER ASSET MANAGEMENT LIMITED JUPITER ASSET MANAGEMENT GROUP LIMITED Company Secretary 2007-03-09 CURRENT 2007-03-09 Active
JUPITER ASSET MANAGEMENT LIMITED JSST SECURITIES LIMITED Company Secretary 2004-11-17 CURRENT 2004-11-17 Dissolved 2014-03-24
JUPITER ASSET MANAGEMENT LIMITED JUPITER SECOND SPLIT TRUST PLC Company Secretary 2004-08-31 CURRENT 2004-08-17 Liquidation
JUPITER ASSET MANAGEMENT LIMITED JEOT SECURITIES LIMITED Company Secretary 2001-01-30 CURRENT 2001-01-26 Dissolved 2016-10-08
JUPITER ASSET MANAGEMENT LIMITED EUROPEAN OPPORTUNITIES TRUST PLC Company Secretary 2000-10-03 CURRENT 2000-08-16 Active
JUPITER ASSET MANAGEMENT LIMITED JUPITER DIVIDEND & GROWTH TRUST PLC Company Secretary 1999-09-28 CURRENT 1999-09-28 Liquidation
JUPITER ASSET MANAGEMENT LIMITED JUPITER UNIT TRUST MANAGERS LIMITED Company Secretary 1999-05-04 CURRENT 1986-04-11 Active
JUPITER ASSET MANAGEMENT LIMITED KNIGHTSBRIDGE ASSET MANAGEMENT LIMITED Company Secretary 1995-07-13 CURRENT 1995-01-19 Active
JUPITER ASSET MANAGEMENT LIMITED JUPITER INVESTMENT TRUST LIMITED Company Secretary 1993-05-14 CURRENT 1993-02-09 Active
JUPITER ASSET MANAGEMENT LIMITED JUPITER ADMINISTRATION SERVICES LIMITED Company Secretary 1992-08-20 CURRENT 1987-03-10 Dissolved 2015-04-07
JUPITER ASSET MANAGEMENT LIMITED TYNDALL INVESTMENTS LIMITED Company Secretary 1992-08-20 CURRENT 1987-03-06 Active
JUPITER ASSET MANAGEMENT LIMITED TYNDALL HOLDINGS LIMITED Company Secretary 1992-07-25 CURRENT 1897-06-19 Active
JUPITER ASSET MANAGEMENT LIMITED JUPITER INVESTMENT MANAGEMENT GROUP LIMITED Company Secretary 1992-04-05 CURRENT 1964-02-14 Active
JUPITER ASSET MANAGEMENT LIMITED JUPITER UK GROWTH INVESTMENT TRUST PLC Company Secretary 1991-11-21 CURRENT 1972-02-02 Liquidation
JUPITER ASSET MANAGEMENT LIMITED PITCHWELL LIMITED Company Secretary 1991-11-14 CURRENT 1987-03-24 Dissolved 2016-12-14
JUPITER ASSET MANAGEMENT LIMITED PITCHCROFT LIMITED Company Secretary 1991-11-06 CURRENT 1980-01-03 Dissolved 2016-12-14
SIMON JOHN DONNE BAKER TORQUAY UNITED COMMUNITY SPORTS TRUST LTD Director 2008-06-12 CURRENT 2008-06-12 Active
SIMON JOHN DONNE BAKER SOUTHAMS LIMITED Director 2001-11-26 CURRENT 2001-11-26 Liquidation
MICHAEL ANTHONY NAYLOR CANOPY CAPITAL LIMITED Director 2008-02-29 CURRENT 2007-11-23 Dissolved 2017-07-18

More director information

Corporation Filing History
Companies House Filing History
This is a record of the public documents (corporate filing) lodged from Companies House where the company has filed annual returns and other statutory filing documents. Examples of documents filed include: change of registered office, accounts filing, director/officer appointments & resignations, changes in share capital, shareholder members lists etc.

DateDocument TypeDocument Description
2024-04-26CONFIRMATION STATEMENT MADE ON 12/04/24, WITH NO UPDATES
2024-03-07Purchase of own shares. Shares purchased into treasury <ul><li>GBP 7,661.7598 on 2024-01-30</ul>
2024-02-12Purchase of own shares. Shares purchased into treasury <ul><li>GBP 7,141.6478 on 2023-11-07</ul>
2023-09-28Resolutions passed:<ul><li>Resolution passed removal of pre-emption<li>Resolution purchase number of shares</ul>
2023-09-28Resolutions passed:<ul><li>Resolution passed removal of pre-emption<li>Resolution purchase number of shares<li>Resolution Continuation vote in accordance with the articles, the directors are required to propose an ordinary resolution at the forthcoming ag
2023-08-31Purchase of own shares. Shares purchased into treasury <ul><li>GBP 6,467.2658 on 2023-07-25</ul>
2023-08-14Purchase of own shares. Shares purchased into treasury <ul><li>GBP 5,993.6988 on 2023-05-10</ul>
2023-08-14Purchase of own shares. Shares purchased into treasury <ul><li>GBP 6,298.4008 on 2023-07-04</ul>
2023-08-04Sale or transfer of treasury shares on 2023-04-13<ul><li>GBP 5,980.239</ul>
2023-07-31FULL ACCOUNTS MADE UP TO 31/03/23
2023-06-0114/04/23 STATEMENT OF CAPITAL GBP 33724.958
2023-04-26CONFIRMATION STATEMENT MADE ON 12/04/23, WITH NO UPDATES
2023-04-11Purchase of own shares. Shares purchased into treasury <ul><li>GBP 5,993.878 on 2022-02-21</ul>
2023-03-03Purchase of own shares. Shares purchased into treasury <ul><li>GBP 5,042.768 on 2023-01-31</ul>
2023-03-02Purchase of own shares. Shares purchased into treasury <ul><li>GBP 5,017.734 on 2023-02-07</ul>
2023-02-16Register inspection address changed from Link Group 10th Floor, Central Square 29 Wellington Street Leeds LS1 4DL England to Equiniti Limited Highdown House Yeoman Way Worthing BN99 3HH
2023-02-16Register inspection address changed from Link Group 10th Floor, Central Square 29 Wellington Street Leeds LS1 4DL England to Equiniti Limited Highdown House Yeoman Way Worthing BN99 3HH
2023-02-16Register inspection address changed from Equiniti Limited Highdown House Yeoman Way Worthing BN99 3HH England to Equiniti Limited Highdown House Yeoman Way Worthing BN99 3HH
2023-02-16Register inspection address changed from Equiniti Limited Highdown House Yeoman Way Worthing BN99 3HH England to Equiniti Limited Highdown House Yeoman Way Worthing BN99 3HH
2023-02-03Purchase of own shares. Shares purchased into treasury <ul><li>GBP 4,823.484 on 2022-11-08</ul>
2022-11-17Resolutions passed:<ul><li>Resolution passed removal of pre-emption<li>Resolution purchase number of shares<li>Resolution on securities</ul>
2022-11-17Resolutions passed:<ul><li>Resolution passed removal of pre-emption<li>Resolution purchase number of shares<li>Resolution on securities</ul>
2022-11-17RES11Resolutions passed:
  • Resolution of removal of pre-emption rights
  • Resolution of authority to purchase a number of shares
  • Resolution of allotment of securities
2022-11-03RES13Resolutions passed:Re: the company continue to offer shareholders the ability to purchase additional shares by way of the annual subscription rights facility/ short notice of a meeting other than an annual general meeting 01/09/2021Resolution of allotm...
2022-10-27AAFULL ACCOUNTS MADE UP TO 31/03/22
2022-09-22AP01DIRECTOR APPOINTED BARONESS BRYONY KATHERINE WORTHINGTON
2022-09-22TM01APPOINTMENT TERMINATED, DIRECTOR POLLY COURTICE
2022-04-26CS01CONFIRMATION STATEMENT MADE ON 12/04/22, WITH NO UPDATES
2022-04-22SH04Sale or transfer of treasury shares on 2022-04-13
  • GBP 4,634.328
2021-11-25SH03Purchase of own shares. Shares purchased into treasury
  • GBP 4,636.895 on 2021-07-12
2021-09-11AAFULL ACCOUNTS MADE UP TO 31/03/21
2021-09-09RES11Resolutions passed:
  • Resolution of removal of pre-emption rights
  • Resolution of authority to purchase a number of shares
  • Resolution of adoption of Articles of Association
  • Resolutions
  • Resolution of allotment of securities
2021-09-09MEM/ARTSARTICLES OF ASSOCIATION
2021-06-24RES11Resolutions passed:
  • Resolution of removal of pre-emption rights
  • Resolution of allotment of securities
2021-05-28SH04Sale or transfer of treasury shares on 2021-05-12
  • GBP 4,561.895
2021-04-28SH04Sale or transfer of treasury shares on 2021-04-06
  • GBP 4,708.895
2021-04-22CS01CONFIRMATION STATEMENT MADE ON 12/04/21, WITH NO UPDATES
2021-04-06SH04Sale or transfer of treasury shares on 2021-01-19
  • GBP 5,891.223
2021-04-03AD02Register inspection address changed from Capita Asset Services 34 Beckenham Road Beckenham Kent BR3 4TU United Kingdom to Link Group 10th Floor, Central Square 29 Wellington Street Leeds LS1 4DL
2021-01-15SH04Sale or transfer of treasury shares on 2020-12-03
  • GBP 6,761.223
2020-11-03SH19Statement of capital on 2020-11-03 GBP 33,724.96
2020-11-03CERT21Certificate of capital reduction of share premium
2020-11-03OC138Reduction of iss capital and minute (oc)
2020-09-29RES01ADOPT ARTICLES 29/09/20
2020-09-29RES10Resolutions passed:Resolution of allotment of securitiesResolution of removal of pre-emption rightsResolution to purchase sharesShare premium account cancelled; general meeting other than agm may be called on not less than 14 days notice 16/09/2020Reso...
2020-09-29MEM/ARTSARTICLES OF ASSOCIATION
2020-09-25AAFULL ACCOUNTS MADE UP TO 31/03/20
2020-04-20CS01CONFIRMATION STATEMENT MADE ON 12/04/20, WITH NO UPDATES
2020-03-10PRIOLondon Stock Exchange corporate action. Priority Issue of ORD GBP0.001 for COAF: UK600128178Y2020 ASIN: GB00B120GL77
2020-03-10SH04Sale or transfer of treasury shares on
    2020-02-07SH03Purchase of own shares. Shares purchased into treasury
    • GBP 7,066.223 on 2019-08-06
    2020-01-21PRIOLondon Stock Exchange corporate action. Priority Issue of ORD GBP0.001 for COAF: UK600128178Y2020 ASIN: GB00B120GL77
    2019-12-24DRIPLondon Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600127709Y2019 ASIN: GB00B120GL77
    2019-12-20DRIPLondon Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600127709Y2019 ASIN: GB00B120GL77
    2019-12-05SH03Purchase of own shares. Shares purchased into treasury
    • GBP 7,011.223 on 2019-10-15
    2019-11-18SH03Purchase of own shares. Shares purchased into treasury
    • GBP 6,991.223 on 2019-10-10
    2019-10-08SH03Purchase of own shares. Shares purchased into treasury
    • GBP 6,976.223 on 2019-08-23
    2019-09-30RES09Resolution of authority to purchase a number of shares
    2019-09-25AAFULL ACCOUNTS MADE UP TO 31/03/19
    2019-09-12SH03Purchase of own shares. Shares purchased into treasury
    • GBP 6,956.223 on 2019-08-01
    2019-08-08SH03Purchase of own shares
    2019-07-22SH03Purchase of own shares. Shares purchased into treasury
    • GBP 6,943.723 on 2019-06-12
    2019-07-17SH03Purchase of own shares. Shares purchased into treasury
    • GBP 6,923.723 on 2019-05-29
    2019-07-08DRIPLondon Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600122969Y2019 ASIN: GB00B120GL77
    2019-07-04DRIPLondon Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600122969Y2019 ASIN: GB00B120GL77
    2019-06-24SH03Purchase of own shares. Shares purchased into treasury
    • GBP 6,883.723 on 2019-04-30
    2019-06-10SH03Purchase of own shares. Shares purchased into treasury
    • GBP 6,833.723 on 2019-04-23
    2019-05-28SH03Purchase of own shares. Shares purchased into treasury
    • GBP 6,823.723 on 2019-04-16
    2019-05-21SH03Purchase of own shares. Shares purchased into treasury
    • GBP 6,813.723 on 2019-04-08
    2019-05-14SH03Purchase of own shares. Shares purchased into treasury
    • GBP 6,793.723 on 2019-03-29
    2019-04-10PRIOLondon Stock Exchange corporate action. Priority Issue of ORD GBP0.001 for COAF: UK600118976Y2019 ASIN: GB00B120GL77
    2019-03-06PRIOLondon Stock Exchange corporate action. Priority Issue of ORD GBP0.001 for COAF: UK600118976Y2019 ASIN: GB00B120GL77
    2019-03-05DRIPLondon Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600118957Y2019 ASIN: GB00B120GL77
    2018-10-04DRIPLondon Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600112243Y2018 ASIN: GB00B120GL77
    2018-07-20SH03RETURN OF PURCHASE OF OWN SHARES 24/05/18 TREASURY CAPITAL GBP 4743.942
    2018-05-03SH0416/04/18 TREASURY CAPITAL GBP 4733.942
    2018-04-17LATEST SOC17/04/18 STATEMENT OF CAPITAL;GBP 33724.958
    2018-04-17CS01CONFIRMATION STATEMENT MADE ON 12/04/18, WITH UPDATES
    2018-03-23SH03RETURN OF PURCHASE OF OWN SHARES 08/02/18 TREASURY CAPITAL GBP 4864.94
    2018-01-16SH03RETURN OF PURCHASE OF OWN SHARES 06/12/17 TREASURY CAPITAL GBP 4854.94
    2018-01-16SH03RETURN OF PURCHASE OF OWN SHARES 04/12/17 TREASURY CAPITAL GBP 4844.94
    2018-01-16SH03RETURN OF PURCHASE OF OWN SHARES 07/12/17 TREASURY CAPITAL GBP 4834.94
    2017-12-22SH03RETURN OF PURCHASE OF OWN SHARES 15/10/17 TREASURY CAPITAL GBP 4824.94
    2017-11-20SH03RETURN OF PURCHASE OF OWN SHARES 13/10/17 TREASURY CAPITAL GBP 4814.94
    2017-11-06SH03RETURN OF PURCHASE OF OWN SHARES 04/10/17 TREASURY CAPITAL GBP 4804.94
    2017-10-24SH03RETURN OF PURCHASE OF OWN SHARES 25/09/17 TREASURY CAPITAL GBP 4794.94
    2017-10-11SH03RETURN OF PURCHASE OF OWN SHARES 15/09/17 TREASURY CAPITAL GBP 4784.94
    2017-10-11SH03RETURN OF PURCHASE OF OWN SHARES 24/08/17 TREASURY CAPITAL GBP 4774.94
    2017-10-10SH03RETURN OF PURCHASE OF OWN SHARES 30/08/17 TREASURY CAPITAL GBP 4744.94
    2017-10-10SH03RETURN OF PURCHASE OF OWN SHARES 29/08/17 TREASURY CAPITAL GBP 4734.94
    2017-10-10SH03RETURN OF PURCHASE OF OWN SHARES 31/08/17 TREASURY CAPITAL GBP 4754.94
    2017-10-10SH03RETURN OF PURCHASE OF OWN SHARES 01/09/17 TREASURY CAPITAL GBP 4764.94
    2017-10-10SH03RETURN OF PURCHASE OF OWN SHARES 25/08/17 TREASURY CAPITAL GBP 4724.94
    2017-09-27SH03RETURN OF PURCHASE OF OWN SHARES 23/08/17 TREASURY CAPITAL GBP 4704.94
    2017-09-27SH03RETURN OF PURCHASE OF OWN SHARES 22/08/17 TREASURY CAPITAL GBP 4714.94
    2017-09-21RES12VARYING SHARE RIGHTS AND NAMES
    2017-09-21RES11DISAPPLICATION OF PRE-EMPTION RIGHTS
    2017-09-21SH03RETURN OF PURCHASE OF OWN SHARES 21/08/17 TREASURY CAPITAL GBP 4694.94
    2017-09-21SH03RETURN OF PURCHASE OF OWN SHARES 18/08/17 TREASURY CAPITAL GBP 4684.94
    2017-09-21SH03RETURN OF PURCHASE OF OWN SHARES 17/08/17 TREASURY CAPITAL GBP 4674.94
    2017-09-21SH03RETURN OF PURCHASE OF OWN SHARES 16/08/17 TREASURY CAPITAL GBP 4664.94
    2017-09-21SH03RETURN OF PURCHASE OF OWN SHARES 15/08/17 TREASURY CAPITAL GBP 4654.94
    2017-09-21SH03RETURN OF PURCHASE OF OWN SHARES 14/08/17 TREASURY CAPITAL GBP 4644.94
    2017-09-21SH03RETURN OF PURCHASE OF OWN SHARES 11/08/17 TREASURY CAPITAL GBP 4634.94
    2017-09-21SH03RETURN OF PURCHASE OF OWN SHARES 09/08/17 TREASURY CAPITAL GBP 4624.94
    2017-09-15AAFULL ACCOUNTS MADE UP TO 31/03/17
    2017-09-15SH03RETURN OF PURCHASE OF OWN SHARES 10/08/17 TREASURY CAPITAL GBP 4614.94
    2017-08-24SH03RETURN OF PURCHASE OF OWN SHARES 26/07/17 TREASURY CAPITAL GBP 4594.94
    2017-08-24SH03RETURN OF PURCHASE OF OWN SHARES 27/07/17 TREASURY CAPITAL GBP 4604.94
    2017-08-16SH03RETURN OF PURCHASE OF OWN SHARES 04/07/17 TREASURY CAPITAL GBP 4584.94
    2017-08-10SH03RETURN OF PURCHASE OF OWN SHARES 13/07/17 TREASURY CAPITAL GBP 4574.94
    2017-08-10SH03RETURN OF PURCHASE OF OWN SHARES 12/07/17 TREASURY CAPITAL GBP 4564.94
    2017-08-08SH03RETURN OF PURCHASE OF OWN SHARES 05/07/17 TREASURY CAPITAL GBP 4544.94
    2017-08-08SH03RETURN OF PURCHASE OF OWN SHARES 06/07/17 TREASURY CAPITAL GBP 4554.94
    2017-07-27SH03RETURN OF PURCHASE OF OWN SHARES 27/06/17 TREASURY CAPITAL GBP 4534.94
    2017-07-27SH03RETURN OF PURCHASE OF OWN SHARES 28/06/17 TREASURY CAPITAL GBP 4524.94
    2017-07-27SH03RETURN OF PURCHASE OF OWN SHARES 30/06/17 TREASURY CAPITAL GBP 4514.94
    2017-07-20SH03RETURN OF PURCHASE OF OWN SHARES 23/06/17 TREASURY CAPITAL GBP 4504.94
    2017-07-18SH03RETURN OF PURCHASE OF OWN SHARES 07/06/17 TREASURY CAPITAL GBP 4494.94
    2017-06-30SH03RETURN OF PURCHASE OF OWN SHARES 01/06/17 TREASURY CAPITAL GBP 4484.94
    2017-06-02SH03RETURN OF PURCHASE OF OWN SHARES 23/03/17 TREASURY CAPITAL GBP 4464.94
    2017-06-02SH03RETURN OF PURCHASE OF OWN SHARES 20/04/17 TREASURY CAPITAL GBP 4474.94
    2017-05-31SH03RETURN OF PURCHASE OF OWN SHARES 11/04/17 TREASURY CAPITAL GBP 4454.94
    2017-05-23SH03RETURN OF PURCHASE OF OWN SHARES 24/04/17 TREASURY CAPITAL GBP 4444.94
    2017-05-17SH03RETURN OF PURCHASE OF OWN SHARES 06/04/17 TREASURY CAPITAL GBP 4434.94
    2017-05-17SH03RETURN OF PURCHASE OF OWN SHARES 04/04/17 TREASURY CAPITAL GBP 4424.94
    2017-05-16SH03RETURN OF PURCHASE OF OWN SHARES 19/04/17 TREASURY CAPITAL GBP 4414.94
    2017-05-16SH03RETURN OF PURCHASE OF OWN SHARES 12/04/17 TREASURY CAPITAL GBP 4404.94
    2017-05-04SH0407/04/17 TREASURY CAPITAL GBP 4394.94
    2017-04-28SH03RETURN OF PURCHASE OF OWN SHARES 29/03/17 TREASURY CAPITAL GBP 4949.261
    2017-04-21SH03RETURN OF PURCHASE OF OWN SHARES 27/03/17 TREASURY CAPITAL GBP 4939.261
    2017-04-21SH03RETURN OF PURCHASE OF OWN SHARES 28/02/17 TREASURY CAPITAL GBP 4929.261
    2017-04-19LATEST SOC19/04/17 STATEMENT OF CAPITAL;GBP 33170.64
    2017-04-19CS01CONFIRMATION STATEMENT MADE ON 12/04/17, WITH UPDATES
    2017-04-19SH03RETURN OF PURCHASE OF OWN SHARES 21/03/17 TREASURY CAPITAL GBP 4919.261
    2017-04-19SH03RETURN OF PURCHASE OF OWN SHARES 22/03/17 TREASURY CAPITAL GBP 4899.261
    2017-04-19SH03RETURN OF PURCHASE OF OWN SHARES 17/03/17 TREASURY CAPITAL GBP 4909.261
    2017-04-10SH03RETURN OF PURCHASE OF OWN SHARES 13/03/17 TREASURY CAPITAL GBP 4859.261
    2017-04-10SH03RETURN OF PURCHASE OF OWN SHARES 14/03/17 TREASURY CAPITAL GBP 4869.261
    2017-04-10SH03RETURN OF PURCHASE OF OWN SHARES 10/03/17 TREASURY CAPITAL GBP 4889.261
    2017-04-10SH03RETURN OF PURCHASE OF OWN SHARES 15/03/17 TREASURY CAPITAL GBP 4879.261
    2017-04-04SH03RETURN OF PURCHASE OF OWN SHARES 09/03/17 TREASURY CAPITAL GBP 4849.261
    2017-04-04SH03RETURN OF PURCHASE OF OWN SHARES 07/03/17 TREASURY CAPITAL GBP 4839.261
    2017-03-30SH03RETURN OF PURCHASE OF OWN SHARES 13/02/17 TREASURY CAPITAL GBP 4829.261
    2017-03-20SH03RETURN OF PURCHASE OF OWN SHARES 08/02/17 TREASURY CAPITAL GBP 4819.261
    2017-03-20SH03RETURN OF PURCHASE OF OWN SHARES 09/02/17 TREASURY CAPITAL GBP 4809.261
    2017-03-09SH03RETURN OF PURCHASE OF OWN SHARES 07/02/17 TREASURY CAPITAL GBP 4806.961
    2017-03-02SH03RETURN OF PURCHASE OF OWN SHARES 01/02/17 TREASURY CAPITAL GBP 4793.661
    2017-03-02SH03RETURN OF PURCHASE OF OWN SHARES 31/01/17 TREASURY CAPITAL GBP 4803.661
    2017-01-18SH03RETURN OF PURCHASE OF OWN SHARES
    2017-01-13SH03RETURN OF PURCHASE OF OWN SHARES 30/11/16 TREASURY CAPITAL GBP 4773.661
    2017-01-13SH03RETURN OF PURCHASE OF OWN SHARES 01/12/16 TREASURY CAPITAL GBP 4783.661
    2017-01-11SH03RETURN OF PURCHASE OF OWN SHARES 02/12/16 TREASURY CAPITAL GBP 4763.661
    2017-01-10SH03RETURN OF PURCHASE OF OWN SHARES 23/11/16 TREASURY CAPITAL GBP 4753.661
    2017-01-09SH03RETURN OF PURCHASE OF OWN SHARES 18/11/16 TREASURY CAPITAL GBP 4743.661
    2016-12-13SH03RETURN OF PURCHASE OF OWN SHARES 17/10/16 TREASURY CAPITAL GBP 4733.661
    2016-12-05SH03RETURN OF PURCHASE OF OWN SHARES 18/10/16 TREASURY CAPITAL GBP 4723.661
    2016-12-05SH03RETURN OF PURCHASE OF OWN SHARES 28/10/16 TREASURY CAPITAL GBP 4713.661
    2016-11-28SH03RETURN OF PURCHASE OF OWN SHARES 21/10/16 TREASURY CAPITAL GBP 4683.661
    2016-11-28SH03RETURN OF PURCHASE OF OWN SHARES 25/10/16 TREASURY CAPITAL GBP 4693.661
    2016-11-28SH03RETURN OF PURCHASE OF OWN SHARES 19/10/16 TREASURY CAPITAL GBP 4673.661
    2016-11-28SH03RETURN OF PURCHASE OF OWN SHARES 20/10/16 TREASURY CAPITAL GBP 4703.661
    2016-10-06SH03RETURN OF PURCHASE OF OWN SHARES 22/08/16 TREASURY CAPITAL GBP 4663.661
    2016-10-05SH03RETURN OF PURCHASE OF OWN SHARES 01/09/16 TREASURY CAPITAL GBP 4636.661
    2016-09-27AAFULL ACCOUNTS MADE UP TO 31/03/16
    2016-09-26SH03RETURN OF PURCHASE OF OWN SHARES 12/08/16 TREASURY CAPITAL GBP 4372.756
    2016-09-26SH03RETURN OF PURCHASE OF OWN SHARES 15/08/16 TREASURY CAPITAL GBP 4397.756
    2016-09-26SH03RETURN OF PURCHASE OF OWN SHARES 16/08/16 TREASURY CAPITAL GBP 4402.756
    2016-09-26SH03RETURN OF PURCHASE OF OWN SHARES 18/08/16 TREASURY CAPITAL GBP 4436.661
    2016-09-16RES08AUTHORITY TO PURCHASE SHARES OUT OF CAPITAL
    2016-09-16RES11DISAPPLICATION OF PRE-EMPTION RIGHTS
    2016-09-14SH03RETURN OF PURCHASE OF OWN SHARES 09/08/16 TREASURY CAPITAL GBP 4347.756
    2016-09-14SH03RETURN OF PURCHASE OF OWN SHARES 08/08/16 TREASURY CAPITAL GBP 4308.005
    2016-09-08SH03RETURN OF PURCHASE OF OWN SHARES 03/08/16 TREASURY CAPITAL GBP 4288.005
    2016-08-23SH03RETURN OF PURCHASE OF OWN SHARES 25/07/16 TREASURY CAPITAL GBP 4158.005
    2016-08-01SH03RETURN OF PURCHASE OF OWN SHARES 05/07/16 TREASURY CAPITAL GBP 4133.005
    2016-07-13SH03RETURN OF PURCHASE OF OWN SHARES 16/06/16 TREASURY CAPITAL GBP 4093.005
    2016-06-01SH03RETURN OF PURCHASE OF OWN SHARES 09/05/16 TREASURY CAPITAL GBP 4018.005
    2016-06-01SH03RETURN OF PURCHASE OF OWN SHARES 06/05/16 TREASURY CAPITAL GBP 3993.005
    2016-05-25SH03RETURN OF PURCHASE OF OWN SHARES 29/04/16 TREASURY CAPITAL GBP 3833.005
    2016-05-24SH03RETURN OF PURCHASE OF OWN SHARES 21/04/16 TREASURY CAPITAL GBP 3808.005
    2016-05-20SH03RETURN OF PURCHASE OF OWN SHARES 20/04/16 TREASURY CAPITAL GBP 3793.005
    2016-05-13SH03RETURN OF PURCHASE OF OWN SHARES 11/04/16 TREASURY CAPITAL GBP 3713.005
    2016-05-13SH03RETURN OF PURCHASE OF OWN SHARES 07/04/16 TREASURY CAPITAL GBP 3697.005
    2016-05-04SH03RETURN OF PURCHASE OF OWN SHARES 17/03/16 TREASURY CAPITAL GBP 3672.005
    2016-05-03SH0404/04/16 TREASURY CAPITAL GBP 3622.005
    2016-04-29LATEST SOC29/04/16 STATEMENT OF CAPITAL;GBP 33724.958
    2016-04-29AR0112/04/16 NO MEMBER LIST
    2016-03-23CH04CORPORATE SECRETARY'S CHANGE OF PARTICULARS / JUPITER ASSET MANAGEMENT LIMITED / 04/01/2016
    2016-03-10CH01DIRECTOR'S CHANGE OF PARTICULARS / SIMON JOHN DONNE BAKER / 04/01/2016
    2016-03-10CH01DIRECTOR'S CHANGE OF PARTICULARS / POLLY COURTICE / 04/01/2016
    2016-03-10CH01DIRECTOR'S CHANGE OF PARTICULARS / MR MICHAEL ANTHONY NAYLOR / 04/01/2016
    2016-03-04SH03RETURN OF PURCHASE OF OWN SHARES 11/02/16 TREASURY CAPITAL GBP 3643.96
    2016-03-02SH03RETURN OF PURCHASE OF OWN SHARES 08/02/16 TREASURY CAPITAL GBP 3613.96
    2016-03-01SH03RETURN OF PURCHASE OF OWN SHARES 04/02/16 TREASURY CAPITAL GBP 3578.96
    2016-02-29SH03RETURN OF PURCHASE OF OWN SHARES 03/02/16 TREASURY CAPITAL GBP 3553.96
    2016-02-29SH03RETURN OF PURCHASE OF OWN SHARES 22/01/16 TREASURY CAPITAL GBP 3533.96
    2016-02-11SH03RETURN OF PURCHASE OF OWN SHARES 07/01/16 TREASURY CAPITAL GBP 3025.85
    2016-01-22SH03RETURN OF PURCHASE OF OWN SHARES 10/12/15 TREASURY CAPITAL GBP 3000.85
    2016-01-22SH03RETURN OF PURCHASE OF OWN SHARES 14/12/15 TREASURY CAPITAL GBP 2500.85
    2016-01-12SH03RETURN OF PURCHASE OF OWN SHARES 17/11/15 TREASURY CAPITAL GBP 2470.85
    2016-01-12SH03RETURN OF PURCHASE OF OWN SHARES 25/11/15 TREASURY CAPITAL GBP 1970.85
    2016-01-08AD01REGISTERED OFFICE CHANGED ON 08/01/2016 FROM 1 GROSVENOR PLACE LONDON SW1X 7JJ
    2015-12-08SH03RETURN OF PURCHASE OF OWN SHARES 06/11/15 TREASURY CAPITAL GBP 1385.85
    2015-12-08SH03RETURN OF PURCHASE OF OWN SHARES 05/11/15 TREASURY CAPITAL GBP 1425.85
    2015-12-08SH03RETURN OF PURCHASE OF OWN SHARES 29/10/15 TREASURY CAPITAL GBP 1470.85
    2015-11-30SH03RETURN OF PURCHASE OF OWN SHARES 26/10/15 TREASURY CAPITAL GBP 1383.85
    2015-11-12SH03RETURN OF PURCHASE OF OWN SHARES 14/10/15 TREASURY CAPITAL GBP 1273.85
    2015-11-12SH03RETURN OF PURCHASE OF OWN SHARES 09/10/15 TREASURY CAPITAL GBP 1238.85
    2015-11-12SH03RETURN OF PURCHASE OF OWN SHARES 15/10/15 TREASURY CAPITAL GBP 1358.85
    2015-10-27SH03RETURN OF PURCHASE OF OWN SHARES 28/09/15 TREASURY CAPITAL GBP 1188.85
    2015-10-09SH03RETURN OF PURCHASE OF OWN SHARES 10/09/15 TREASURY CAPITAL GBP 1128.85
    2015-10-09SH03RETURN OF PURCHASE OF OWN SHARES 07/09/15 TREASURY CAPITAL GBP 1048.85
    2015-10-09SH03RETURN OF PURCHASE OF OWN SHARES 04/09/15 TREASURY CAPITAL GBP 1011.85
    2015-09-24SH03RETURN OF PURCHASE OF OWN SHARES 02/09/15 TREASURY CAPITAL GBP 951.85
    2015-09-23RES13SECTION 701 OF CA 2006 02/09/2015
    2015-09-23RES10AUTHORISED ALLOTMENT OF SHARES AND DEBENTURES
    2015-09-23TM01APPOINTMENT TERMINATED, DIRECTOR PEREGRINE CROSTHWAITE
    2015-09-23TM01APPOINTMENT TERMINATED, DIRECTOR CHARLES CROLE
    2015-09-18AAFULL ACCOUNTS MADE UP TO 31/03/15
    2015-09-14SH03RETURN OF PURCHASE OF OWN SHARES 11/08/15 TREASURY CAPITAL GBP 926.85
    2015-09-10SH03RETURN OF PURCHASE OF OWN SHARES 13/08/15 TREASURY CAPITAL GBP 906.85
    2015-09-02SH03RETURN OF PURCHASE OF OWN SHARES 04/08/15 TREASURY CAPITAL GBP 806.85
    2015-09-02SH03RETURN OF PURCHASE OF OWN SHARES 10/08/15 TREASURY CAPITAL GBP 856.85
    2015-08-25SH03RETURN OF PURCHASE OF OWN SHARES 30/07/15 TREASURY CAPITAL GBP 776.85
    2015-08-19SH03RETURN OF PURCHASE OF OWN SHARES
    2015-07-16SH03RETURN OF PURCHASE OF OWN SHARES 08/06/15 TREASURY CAPITAL GBP 751.85
    2015-07-10AP01DIRECTOR APPOINTED SIMON JOHN DONNE BAKER
    2015-07-07SH03RETURN OF PURCHASE OF OWN SHARES 26/05/15 TREASURY CAPITAL GBP 708.35
    2015-07-07SH03RETURN OF PURCHASE OF OWN SHARES 02/06/15 TREASURY CAPITAL GBP 733.35
    2015-06-29AR0112/04/15 FULL LIST
    2015-06-17SH0102/04/15 STATEMENT OF CAPITAL GBP 33704.44
    2015-06-03SH03RETURN OF PURCHASE OF OWN SHARES 24/04/15 TREASURY CAPITAL GBP 626.85
    2015-05-19LATEST SOC02/06/15 STATEMENT OF CAPITAL;GBP 334720.20815
    2015-05-19SH0120/04/15 STATEMENT OF CAPITAL GBP 334724.96
    2015-05-19SH03RETURN OF PURCHASE OF OWN SHARES 15/04/15 TREASURY CAPITAL GBP 51370.587
    2015-05-08SH03RETURN OF PURCHASE OF OWN SHARES 13/04/15 TREASURY CAPITAL GBP 51350.587
    2015-05-07SH03RETURN OF PURCHASE OF OWN SHARES 02/04/15 TREASURY CAPITAL GBP 51300.587
    2015-04-21SH03RETURN OF PURCHASE OF OWN SHARES 10/03/15 TREASURY CAPITAL GBP 51131.555
    2015-04-21SH03RETURN OF PURCHASE OF OWN SHARES 20/03/15 TREASURY CAPITAL GBP 51156.555
    2015-04-21SH03RETURN OF PURCHASE OF OWN SHARES 24/03/15 TREASURY CAPITAL GBP 51256.587
    2015-04-21SH03RETURN OF PURCHASE OF OWN SHARES 23/03/15 TREASURY CAPITAL GBP 51206.555
    2015-04-16SH03RETURN OF PURCHASE OF OWN SHARES 17/03/15 TREASURY CAPITAL GBP 51101.555
    2015-04-15SH03RETURN OF PURCHASE OF OWN SHARES 12/03/15 TREASURY CAPITAL GBP 51077.555
    2015-04-01SH03RETURN OF PURCHASE OF OWN SHARES 09/03/15 TREASURY CAPITAL GBP 51042.555
    2015-03-03SH03RETURN OF PURCHASE OF OWN SHARES 05/02/15 TREASURY CAPITAL GBP 50981.555
    2015-03-03SH03RETURN OF PURCHASE OF OWN SHARES 11/02/15 TREASURY CAPITAL GBP 51017.555
    2015-02-24SH03RETURN OF PURCHASE OF OWN SHARES 04/02/15 TREASURY CAPITAL GBP 50965.555
    2015-02-17SH03RETURN OF PURCHASE OF OWN SHARES 27/01/15 TREASURY CAPITAL GBP 50935.555
    2015-01-13SH03RETURN OF PURCHASE OF OWN SHARES 27/11/14 TREASURY CAPITAL GBP 50900.555
    2014-10-23AAFULL ACCOUNTS MADE UP TO 31/03/14
    2014-10-08SH03RETURN OF PURCHASE OF OWN SHARES 12/09/14 TREASURY CAPITAL GBP 50875.555
    2014-08-15RES01ADOPT ARTICLES 31/07/2014
    2014-08-15RES09AUTHORITY- PURCHASE SHARES OTHER THAN FROM CAPITAL
    2014-08-15RES11DISAPPLICATION OF PRE-EMPTION RIGHTS
    2014-06-03SH03RETURN OF PURCHASE OF OWN SHARES 02/05/14 TREASURY CAPITAL GBP 50721.48
    2014-05-20CH01DIRECTOR'S CHANGE OF PARTICULARS / MR PEREGRINE KENNETH OUGHTON CROSTHWAITE / 13/05/2014
    2014-05-20CH01DIRECTOR'S CHANGE OF PARTICULARS / POLLY COURTICE / 13/05/2014
    2014-05-20AD02SAIL ADDRESS CHANGED FROM: CAPITA REGISTRARS NORTHERN HOUSE WOODSOME PARK FENAY BRIDGE HUDDERSFIELD HD8 0GA UNITED KINGDOM
    2014-05-20CH01DIRECTOR'S CHANGE OF PARTICULARS / MR MICHAEL ANTHONY NAYLOR / 13/05/2014
    2014-05-19LATEST SOC19/05/14 STATEMENT OF CAPITAL;GBP 271091.22
    2014-05-19AR0112/04/14 FULL LIST
    2014-05-13SH03RETURN OF PURCHASE OF OWN SHARES 22/04/14 TREASURY CAPITAL GBP 42985.35
    2014-04-24SH0103/04/14 STATEMENT OF CAPITAL GBP 336330.56
    2014-02-11SH03RETURN OF PURCHASE OF OWN SHARES 16/01/14 TREASURY CAPITAL GBP 37985.35
    2014-02-04SH03RETURN OF PURCHASE OF OWN SHARES 10/01/14 TREASURY CAPITAL GBP 37735.35
    2014-02-03SH03RETURN OF PURCHASE OF OWN SHARES 15/01/14 TREASURY CAPITAL GBP 37335.35
    2014-01-16SH03RETURN OF PURCHASE OF OWN SHARES 19/12/13 TREASURY CAPITAL GBP 37135.35
    2014-01-07SH03RETURN OF PURCHASE OF OWN SHARES 10/12/13 TREASURY CAPITAL GBP 26897.48
    2014-01-07SH03RETURN OF PURCHASE OF OWN SHARES 29/11/13 TREASURY CAPITAL GBP 25897.48
    2013-11-14SH03RETURN OF PURCHASE OF OWN SHARES 25/10/13 TREASURY CAPITAL GBP 16397.48
    2013-11-12SH03RETURN OF PURCHASE OF OWN SHARES 23/10/13 TREASURY CAPITAL GBP 16147.48
    2013-11-05SH03RETURN OF PURCHASE OF OWN SHARES 11/10/13 TREASURY CAPITAL GBP 15620.4
    2013-11-05SH03RETURN OF PURCHASE OF OWN SHARES 16/10/13 TREASURY CAPITAL GBP 15897.48
    2013-10-15SH0615/10/13 STATEMENT OF CAPITAL GBP 585762.20
    2013-10-15SH03RETURN OF PURCHASE OF OWN SHARES
    2013-10-14SH0614/10/13 STATEMENT OF CAPITAL GBP 286112.20
    2013-10-14SH03RETURN OF PURCHASE OF OWN SHARES
    2013-08-29SH0629/08/13 STATEMENT OF CAPITAL GBP 293522.20
    2013-08-29SH03RETURN OF PURCHASE OF OWN SHARES
    2013-08-29SH03RETURN OF PURCHASE OF OWN SHARES
    2013-08-29SH03RETURN OF PURCHASE OF OWN SHARES
    2013-08-13SH03RETURN OF PURCHASE OF OWN SHARES
    2013-08-13SH03RETURN OF PURCHASE OF OWN SHARES
    2013-08-13SH03RETURN OF PURCHASE OF OWN SHARES
    2013-08-02SH03RETURN OF PURCHASE OF OWN SHARES
    2013-08-02SH03RETURN OF PURCHASE OF OWN SHARES
    2013-08-02SH03RETURN OF PURCHASE OF OWN SHARES
    2013-07-24SH0624/07/13 STATEMENT OF CAPITAL GBP 308391.95
    2013-07-24SH03RETURN OF PURCHASE OF OWN SHARES
    2013-07-10AAFULL ACCOUNTS MADE UP TO 31/03/13
    2013-06-28SH0628/06/13 STATEMENT OF CAPITAL GBP 308641.95
    2013-06-28SH03RETURN OF PURCHASE OF OWN SHARES
    2013-06-11SH0611/06/13 STATEMENT OF CAPITAL GBP 308891.95
    2013-06-11SH0611/06/13 STATEMENT OF CAPITAL GBP 309141.95
    2013-06-11SH03RETURN OF PURCHASE OF OWN SHARES
    2013-06-11SH03RETURN OF PURCHASE OF OWN SHARES
    2013-05-14SH0614/05/13 STATEMENT OF CAPITAL GBP 310821.19
    2013-05-14SH03RETURN OF PURCHASE OF OWN SHARES
    2013-04-30SH0630/04/13 STATEMENT OF CAPITAL GBP 311071.19
    2013-04-30SH0630/04/13 STATEMENT OF CAPITAL GBP 311571.19
    2013-04-30SH03RETURN OF PURCHASE OF OWN SHARES
    2013-04-30SH03RETURN OF PURCHASE OF OWN SHARES
    2013-04-26AR0112/04/13 NO MEMBER LIST
    2013-04-17SH0617/04/13 STATEMENT OF CAPITAL GBP 301972.52
    2013-04-17SH0617/04/13 STATEMENT OF CAPITAL GBP 302765
    2013-04-17SH03RETURN OF PURCHASE OF OWN SHARES
    2013-04-17SH03RETURN OF PURCHASE OF OWN SHARES
    2013-04-12SH0612/04/13 STATEMENT OF CAPITAL GBP 304600.15
    2013-04-08SH0608/04/13 STATEMENT OF CAPITAL GBP 304445.15
    2013-04-08SH0608/04/13 STATEMENT OF CAPITAL GBP 304265
    2013-04-08SH03RETURN OF PURCHASE OF OWN SHARES
    2013-04-08SH03RETURN OF PURCHASE OF OWN SHARES
    2013-04-02SH0602/04/13 STATEMENT OF CAPITAL GBP 17500
    Industry Information
    SIC/NAIC Codes
    64 - Financial service activities, except insurance and pension funding
    643 - Trusts, funds and similar financial entities
    64301 - Activities of investment trusts




    Licences & Regulatory approval
    We could not find any licences issued to JUPITER GREEN INVESTMENT TRUST PLC or authorisation from an industry specific regulator to operate. These may not be required.
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    Risks
    Legal Notices
    No legal notices or events such as winding-up orders or proposals to strike-off have been issued
    Fines / Sanctions
    No fines or sanctions have been issued against JUPITER GREEN INVESTMENT TRUST PLC
    Liabilities
    Mortgages / Charges
    Total # Mortgages/Charges 0
    Mortgages/Charges outstanding 0
    Mortgages Partially Satisifed 0
    Mortgages Satisfied/Paid 0
    Details of Mortgagee Charges
    JUPITER GREEN INVESTMENT TRUST PLC does not have any mortgage charges so there is no mortgagee data available

      Average Max
    MortgagesNumMortCharges1.5099
    MortgagesNumMortOutstanding0.9593
    MortgagesNumMortPartSatisfied0.007
    MortgagesNumMortSatisfied0.5496

    This shows the max and average number of mortgages for companies with the same SIC code of 64301 - Activities of investment trusts

    Intangible Assets
    Patents
    We have not found any records of JUPITER GREEN INVESTMENT TRUST PLC registering or being granted any patents
    Domain Names
    We do not have the domain name information for JUPITER GREEN INVESTMENT TRUST PLC
    Trademarks
    We have not found any records of JUPITER GREEN INVESTMENT TRUST PLC registering or being granted any trademarks
    Income
    Government Income
    We have not found government income sources for JUPITER GREEN INVESTMENT TRUST PLC. This could be because the transaction value was below £ 500 with local government or below £ 25,000 for central government. We have found 8,000 supplier to government that are UK companies so approx 0.2% of companies listed on Datalog supply to government.

    The top companies supplying to UK government with the same SIC code (64301 - Activities of investment trusts) as JUPITER GREEN INVESTMENT TRUST PLC are:

    ABBEY NATIONAL INVESTMENTS HOLDINGS LIMITED £ 5,053,043
    ABRDN FUND MANAGERS LIMITED £ 3,017,531
    PICTET ASSET MANAGEMENT LIMITED £ 647,110
    DORSET HOUSE LTD £ 572,427
    ALLPAY LIMITED £ 461,876
    ARLINGCLOSE LIMITED £ 227,102
    FIL PENSIONS MANAGEMENT £ 105,751
    ASSET ADVANTAGE GROUP LIMITED £ 92,418
    CLOSE INVOICE FINANCE LIMITED £ 61,134
    3C PAYMENT UK LTD £ 37,584
    KENT EDUCATION PARTNERSHIP LIMITED £ 72,215,398
    AEGON ASSET MANAGEMENT UK PLC £ 53,000,000
    EQUITIX EDUCATION LIMITED £ 43,048,650
    CLOSE BROTHERS LIMITED £ 35,000,000
    COVENTRY EDUCATION PARTNERSHIP LIMITED £ 17,216,223
    NATIONWIDE LIMITED £ 10,001,114
    S&P GLOBAL LIMITED £ 8,386,309
    MILESHIELD COMMERCIAL FUNDING LIMITED £ 7,528,917
    QUADIENT FINANCE UK LIMITED £ 7,487,773
    SCHRODER INVESTMENT MANAGEMENT LIMITED £ 7,447,627
    KENT EDUCATION PARTNERSHIP LIMITED £ 72,215,398
    AEGON ASSET MANAGEMENT UK PLC £ 53,000,000
    EQUITIX EDUCATION LIMITED £ 43,048,650
    CLOSE BROTHERS LIMITED £ 35,000,000
    COVENTRY EDUCATION PARTNERSHIP LIMITED £ 17,216,223
    NATIONWIDE LIMITED £ 10,001,114
    S&P GLOBAL LIMITED £ 8,386,309
    MILESHIELD COMMERCIAL FUNDING LIMITED £ 7,528,917
    QUADIENT FINANCE UK LIMITED £ 7,487,773
    SCHRODER INVESTMENT MANAGEMENT LIMITED £ 7,447,627
    KENT EDUCATION PARTNERSHIP LIMITED £ 72,215,398
    AEGON ASSET MANAGEMENT UK PLC £ 53,000,000
    EQUITIX EDUCATION LIMITED £ 43,048,650
    CLOSE BROTHERS LIMITED £ 35,000,000
    COVENTRY EDUCATION PARTNERSHIP LIMITED £ 17,216,223
    NATIONWIDE LIMITED £ 10,001,114
    S&P GLOBAL LIMITED £ 8,386,309
    MILESHIELD COMMERCIAL FUNDING LIMITED £ 7,528,917
    QUADIENT FINANCE UK LIMITED £ 7,487,773
    SCHRODER INVESTMENT MANAGEMENT LIMITED £ 7,447,627
    Outgoings
    Business Rates/Property Tax
    No properties were found where JUPITER GREEN INVESTMENT TRUST PLC is liable for the business rates / property tax. This could be for a number of reasons.
    • The council hasnt published the data
    • We havent found or been able to process the councils data
    • The company is part of a group of companies and another company in the group is liable for business rates
    • The registered office may be a residential address which does not have a commercial designation. If the business is run from home then it won't be a commercial property and hence won't be liable for business rates.
    • Serviced offices are increasingly popular and therefore a business may not be paying business rates directly - the building owner is and this is incorporated in the office rental charge.
    Government Grants / Awards
    Technology Strategy Board Awards
    The Technology Strategy Board has not awarded JUPITER GREEN INVESTMENT TRUST PLC any grants or awards. Grants from the TSB are an indicator that the company is investing in new technologies or IPR
    European Union CORDIS Awards
    The European Union has not awarded JUPITER GREEN INVESTMENT TRUST PLC any grants or awards.
    Capital & Shareholder / Members
    Stock Exchange Listing
    London Stock Exchange Listing Main Market
    Ticker Name JGC
    Listed Since 08-Jun-06
    Market Sector Equity Investment Instruments
    Market Sub Sector Equity Investment Instruments
    Market Capitalisation £35.6318M
    Shares Issues 25,360,689.00
    Share Type ORD GBP0.001
    Ownership
      We could not find any group structure information
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