Active
Company Information for JUPITER GREEN INVESTMENT TRUST PLC
THE ZIG ZAG BUILDING, 70 VICTORIA STREET, LONDON, SW1E 6SQ,
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Company Registration Number
05780006
Public Limited Company
Active |
Company Name | ||
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JUPITER GREEN INVESTMENT TRUST PLC | ||
Legal Registered Office | ||
THE ZIG ZAG BUILDING 70 VICTORIA STREET LONDON SW1E 6SQ Other companies in SW1X | ||
Previous Names | ||
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Company Number | 05780006 | |
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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 |
Companies House |
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Officer | Role | Date Appointed |
---|---|---|
JUPITER ASSET MANAGEMENT LIMITED |
||
SIMON JOHN DONNE BAKER |
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POLLY COURTICE |
||
MICHAEL ANTHONY NAYLOR |
Officer | Role | Date Appointed | Date Resigned |
---|---|---|---|
CHARLES DONALD CROLE |
Director | ||
PEREGRINE KENNETH OUGHTON CROSTHWAITE |
Director | ||
TRISTAN PATRICK ALAN HILLGARTH |
Director | ||
ALEXANDER SIMON HOARE |
Director | ||
SH COMPANY SECRETARIES LIMITED |
Company Secretary | ||
ANTHONY MARK EDWARDS |
Director | ||
MARSHA KRISTIN FERGUSON-YARDE |
Director |
Officer | Related Company | Role | Date Appointed | Role Status | Incorporation date | Company Status |
---|---|---|---|---|---|---|
JUPITER EMERGING & FRONTIER INCOME TRUST PLC | Company Secretary | 2017-04-04 | CURRENT | 2017-04-04 | Liquidation | |
JUPITER FUND MANAGEMENT GROUP LIMITED | Company Secretary | 2007-03-13 | CURRENT | 2007-03-13 | Active | |
JUPITER ASSET MANAGEMENT GROUP LIMITED | Company Secretary | 2007-03-09 | CURRENT | 2007-03-09 | Active | |
JSST SECURITIES LIMITED | Company Secretary | 2004-11-17 | CURRENT | 2004-11-17 | Dissolved 2014-03-24 | |
JUPITER SECOND SPLIT TRUST PLC | Company Secretary | 2004-08-31 | CURRENT | 2004-08-17 | Liquidation | |
JEOT SECURITIES LIMITED | Company Secretary | 2001-01-30 | CURRENT | 2001-01-26 | Dissolved 2016-10-08 | |
EUROPEAN OPPORTUNITIES TRUST PLC | Company Secretary | 2000-10-03 | CURRENT | 2000-08-16 | Active | |
JUPITER DIVIDEND & GROWTH TRUST PLC | Company Secretary | 1999-09-28 | CURRENT | 1999-09-28 | Liquidation | |
JUPITER UNIT TRUST MANAGERS LIMITED | Company Secretary | 1999-05-04 | CURRENT | 1986-04-11 | Active | |
KNIGHTSBRIDGE ASSET MANAGEMENT LIMITED | Company Secretary | 1995-07-13 | CURRENT | 1995-01-19 | Active | |
JUPITER INVESTMENT TRUST LIMITED | Company Secretary | 1993-05-14 | CURRENT | 1993-02-09 | Active | |
JUPITER ADMINISTRATION SERVICES LIMITED | Company Secretary | 1992-08-20 | CURRENT | 1987-03-10 | Dissolved 2015-04-07 | |
TYNDALL INVESTMENTS LIMITED | Company Secretary | 1992-08-20 | CURRENT | 1987-03-06 | Active | |
TYNDALL HOLDINGS LIMITED | Company Secretary | 1992-07-25 | CURRENT | 1897-06-19 | Active | |
JUPITER INVESTMENT MANAGEMENT GROUP LIMITED | Company Secretary | 1992-04-05 | CURRENT | 1964-02-14 | Active | |
JUPITER UK GROWTH INVESTMENT TRUST PLC | Company Secretary | 1991-11-21 | CURRENT | 1972-02-02 | Liquidation | |
PITCHWELL LIMITED | Company Secretary | 1991-11-14 | CURRENT | 1987-03-24 | Dissolved 2016-12-14 | |
PITCHCROFT LIMITED | Company Secretary | 1991-11-06 | CURRENT | 1980-01-03 | Dissolved 2016-12-14 | |
TORQUAY UNITED COMMUNITY SPORTS TRUST LTD | Director | 2008-06-12 | CURRENT | 2008-06-12 | Active | |
SOUTHAMS LIMITED | Director | 2001-11-26 | CURRENT | 2001-11-26 | Liquidation | |
CANOPY CAPITAL LIMITED | Director | 2008-02-29 | CURRENT | 2007-11-23 | Dissolved 2017-07-18 |
Date | Document Type | Document Description |
---|---|---|
CONFIRMATION STATEMENT MADE ON 12/04/24, WITH NO UPDATES | ||
Purchase of own shares. Shares purchased into treasury <ul><li>GBP 7,661.7598 on 2024-01-30</ul> | ||
Purchase of own shares. Shares purchased into treasury <ul><li>GBP 7,141.6478 on 2023-11-07</ul> | ||
Resolutions passed:<ul><li>Resolution passed removal of pre-emption<li>Resolution purchase number of shares</ul> | ||
Resolutions 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 | ||
Purchase of own shares. Shares purchased into treasury <ul><li>GBP 6,467.2658 on 2023-07-25</ul> | ||
Purchase of own shares. Shares purchased into treasury <ul><li>GBP 5,993.6988 on 2023-05-10</ul> | ||
Purchase of own shares. Shares purchased into treasury <ul><li>GBP 6,298.4008 on 2023-07-04</ul> | ||
Sale or transfer of treasury shares on 2023-04-13<ul><li>GBP 5,980.239</ul> | ||
FULL ACCOUNTS MADE UP TO 31/03/23 | ||
14/04/23 STATEMENT OF CAPITAL GBP 33724.958 | ||
CONFIRMATION STATEMENT MADE ON 12/04/23, WITH NO UPDATES | ||
Purchase of own shares. Shares purchased into treasury <ul><li>GBP 5,993.878 on 2022-02-21</ul> | ||
Purchase of own shares. Shares purchased into treasury <ul><li>GBP 5,042.768 on 2023-01-31</ul> | ||
Purchase of own shares. Shares purchased into treasury <ul><li>GBP 5,017.734 on 2023-02-07</ul> | ||
Register 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 | ||
Register 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 | ||
Register inspection address changed from Equiniti Limited Highdown House Yeoman Way Worthing BN99 3HH England to Equiniti Limited Highdown House Yeoman Way Worthing BN99 3HH | ||
Register inspection address changed from Equiniti Limited Highdown House Yeoman Way Worthing BN99 3HH England to Equiniti Limited Highdown House Yeoman Way Worthing BN99 3HH | ||
Purchase of own shares. Shares purchased into treasury <ul><li>GBP 4,823.484 on 2022-11-08</ul> | ||
Resolutions passed:<ul><li>Resolution passed removal of pre-emption<li>Resolution purchase number of shares<li>Resolution on securities</ul> | ||
Resolutions passed:<ul><li>Resolution passed removal of pre-emption<li>Resolution purchase number of shares<li>Resolution on securities</ul> | ||
RES11 | Resolutions passed:
| |
RES13 | Resolutions 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... | |
AA | FULL ACCOUNTS MADE UP TO 31/03/22 | |
AP01 | DIRECTOR APPOINTED BARONESS BRYONY KATHERINE WORTHINGTON | |
TM01 | APPOINTMENT TERMINATED, DIRECTOR POLLY COURTICE | |
CS01 | CONFIRMATION STATEMENT MADE ON 12/04/22, WITH NO UPDATES | |
SH04 | Sale or transfer of treasury shares on 2022-04-13
| |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
AA | FULL ACCOUNTS MADE UP TO 31/03/21 | |
RES11 | Resolutions passed:
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MEM/ARTS | ARTICLES OF ASSOCIATION | |
RES11 | Resolutions passed:
| |
SH04 | Sale or transfer of treasury shares on 2021-05-12
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SH04 | Sale or transfer of treasury shares on 2021-04-06
| |
CS01 | CONFIRMATION STATEMENT MADE ON 12/04/21, WITH NO UPDATES | |
SH04 | Sale or transfer of treasury shares on 2021-01-19
| |
AD02 | Register 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 | |
SH04 | Sale or transfer of treasury shares on 2020-12-03
| |
SH19 | Statement of capital on 2020-11-03 GBP 33,724.96 | |
CERT21 | Certificate of capital reduction of share premium | |
OC138 | Reduction of iss capital and minute (oc) | |
RES01 | ADOPT ARTICLES 29/09/20 | |
RES10 | Resolutions 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... | |
MEM/ARTS | ARTICLES OF ASSOCIATION | |
AA | FULL ACCOUNTS MADE UP TO 31/03/20 | |
CS01 | CONFIRMATION STATEMENT MADE ON 12/04/20, WITH NO UPDATES | |
PRIO | London Stock Exchange corporate action. Priority Issue of ORD GBP0.001 for COAF: UK600128178Y2020 ASIN: GB00B120GL77 | |
SH04 | Sale or transfer of treasury shares on | |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
PRIO | London Stock Exchange corporate action. Priority Issue of ORD GBP0.001 for COAF: UK600128178Y2020 ASIN: GB00B120GL77 | |
DRIP | London Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600127709Y2019 ASIN: GB00B120GL77 | |
DRIP | London Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600127709Y2019 ASIN: GB00B120GL77 | |
SH03 | Purchase of own shares. Shares purchased into treasury
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SH03 | Purchase of own shares. Shares purchased into treasury
| |
SH03 | Purchase of own shares. Shares purchased into treasury
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RES09 | Resolution of authority to purchase a number of shares | |
AA | FULL ACCOUNTS MADE UP TO 31/03/19 | |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
SH03 | Purchase of own shares | |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
DRIP | London Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600122969Y2019 ASIN: GB00B120GL77 | |
DRIP | London Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600122969Y2019 ASIN: GB00B120GL77 | |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
PRIO | London Stock Exchange corporate action. Priority Issue of ORD GBP0.001 for COAF: UK600118976Y2019 ASIN: GB00B120GL77 | |
PRIO | London Stock Exchange corporate action. Priority Issue of ORD GBP0.001 for COAF: UK600118976Y2019 ASIN: GB00B120GL77 | |
DRIP | London Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600118957Y2019 ASIN: GB00B120GL77 | |
DRIP | London Stock Exchange corporate action. Dividend Reinvestment of ORD GBP0.001 for COAF: UK600112243Y2018 ASIN: GB00B120GL77 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 24/05/18 TREASURY CAPITAL GBP 4743.942 | |
SH04 | 16/04/18 TREASURY CAPITAL GBP 4733.942 | |
LATEST SOC | 17/04/18 STATEMENT OF CAPITAL;GBP 33724.958 | |
CS01 | CONFIRMATION STATEMENT MADE ON 12/04/18, WITH UPDATES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 08/02/18 TREASURY CAPITAL GBP 4864.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 06/12/17 TREASURY CAPITAL GBP 4854.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/12/17 TREASURY CAPITAL GBP 4844.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/12/17 TREASURY CAPITAL GBP 4834.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/10/17 TREASURY CAPITAL GBP 4824.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/10/17 TREASURY CAPITAL GBP 4814.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/10/17 TREASURY CAPITAL GBP 4804.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 25/09/17 TREASURY CAPITAL GBP 4794.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/09/17 TREASURY CAPITAL GBP 4784.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 24/08/17 TREASURY CAPITAL GBP 4774.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 30/08/17 TREASURY CAPITAL GBP 4744.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/08/17 TREASURY CAPITAL GBP 4734.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 31/08/17 TREASURY CAPITAL GBP 4754.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 01/09/17 TREASURY CAPITAL GBP 4764.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 25/08/17 TREASURY CAPITAL GBP 4724.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 23/08/17 TREASURY CAPITAL GBP 4704.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 22/08/17 TREASURY CAPITAL GBP 4714.94 | |
RES12 | VARYING SHARE RIGHTS AND NAMES | |
RES11 | DISAPPLICATION OF PRE-EMPTION RIGHTS | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 21/08/17 TREASURY CAPITAL GBP 4694.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 18/08/17 TREASURY CAPITAL GBP 4684.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 17/08/17 TREASURY CAPITAL GBP 4674.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 16/08/17 TREASURY CAPITAL GBP 4664.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/08/17 TREASURY CAPITAL GBP 4654.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 14/08/17 TREASURY CAPITAL GBP 4644.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 11/08/17 TREASURY CAPITAL GBP 4634.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 09/08/17 TREASURY CAPITAL GBP 4624.94 | |
AA | FULL ACCOUNTS MADE UP TO 31/03/17 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 10/08/17 TREASURY CAPITAL GBP 4614.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 26/07/17 TREASURY CAPITAL GBP 4594.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 27/07/17 TREASURY CAPITAL GBP 4604.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/07/17 TREASURY CAPITAL GBP 4584.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/07/17 TREASURY CAPITAL GBP 4574.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/07/17 TREASURY CAPITAL GBP 4564.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/07/17 TREASURY CAPITAL GBP 4544.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 06/07/17 TREASURY CAPITAL GBP 4554.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 27/06/17 TREASURY CAPITAL GBP 4534.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 28/06/17 TREASURY CAPITAL GBP 4524.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 30/06/17 TREASURY CAPITAL GBP 4514.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 23/06/17 TREASURY CAPITAL GBP 4504.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/06/17 TREASURY CAPITAL GBP 4494.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 01/06/17 TREASURY CAPITAL GBP 4484.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 23/03/17 TREASURY CAPITAL GBP 4464.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 20/04/17 TREASURY CAPITAL GBP 4474.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 11/04/17 TREASURY CAPITAL GBP 4454.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 24/04/17 TREASURY CAPITAL GBP 4444.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 06/04/17 TREASURY CAPITAL GBP 4434.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/04/17 TREASURY CAPITAL GBP 4424.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 19/04/17 TREASURY CAPITAL GBP 4414.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/04/17 TREASURY CAPITAL GBP 4404.94 | |
SH04 | 07/04/17 TREASURY CAPITAL GBP 4394.94 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/03/17 TREASURY CAPITAL GBP 4949.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 27/03/17 TREASURY CAPITAL GBP 4939.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 28/02/17 TREASURY CAPITAL GBP 4929.261 | |
LATEST SOC | 19/04/17 STATEMENT OF CAPITAL;GBP 33170.64 | |
CS01 | CONFIRMATION STATEMENT MADE ON 12/04/17, WITH UPDATES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 21/03/17 TREASURY CAPITAL GBP 4919.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 22/03/17 TREASURY CAPITAL GBP 4899.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 17/03/17 TREASURY CAPITAL GBP 4909.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/03/17 TREASURY CAPITAL GBP 4859.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 14/03/17 TREASURY CAPITAL GBP 4869.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 10/03/17 TREASURY CAPITAL GBP 4889.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/03/17 TREASURY CAPITAL GBP 4879.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 09/03/17 TREASURY CAPITAL GBP 4849.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/03/17 TREASURY CAPITAL GBP 4839.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/02/17 TREASURY CAPITAL GBP 4829.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 08/02/17 TREASURY CAPITAL GBP 4819.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 09/02/17 TREASURY CAPITAL GBP 4809.261 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/02/17 TREASURY CAPITAL GBP 4806.961 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 01/02/17 TREASURY CAPITAL GBP 4793.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 31/01/17 TREASURY CAPITAL GBP 4803.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 30/11/16 TREASURY CAPITAL GBP 4773.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 01/12/16 TREASURY CAPITAL GBP 4783.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 02/12/16 TREASURY CAPITAL GBP 4763.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 23/11/16 TREASURY CAPITAL GBP 4753.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 18/11/16 TREASURY CAPITAL GBP 4743.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 17/10/16 TREASURY CAPITAL GBP 4733.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 18/10/16 TREASURY CAPITAL GBP 4723.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 28/10/16 TREASURY CAPITAL GBP 4713.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 21/10/16 TREASURY CAPITAL GBP 4683.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 25/10/16 TREASURY CAPITAL GBP 4693.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 19/10/16 TREASURY CAPITAL GBP 4673.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 20/10/16 TREASURY CAPITAL GBP 4703.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 22/08/16 TREASURY CAPITAL GBP 4663.661 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 01/09/16 TREASURY CAPITAL GBP 4636.661 | |
AA | FULL ACCOUNTS MADE UP TO 31/03/16 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/08/16 TREASURY CAPITAL GBP 4372.756 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/08/16 TREASURY CAPITAL GBP 4397.756 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 16/08/16 TREASURY CAPITAL GBP 4402.756 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 18/08/16 TREASURY CAPITAL GBP 4436.661 | |
RES08 | AUTHORITY TO PURCHASE SHARES OUT OF CAPITAL | |
RES11 | DISAPPLICATION OF PRE-EMPTION RIGHTS | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 09/08/16 TREASURY CAPITAL GBP 4347.756 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 08/08/16 TREASURY CAPITAL GBP 4308.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 03/08/16 TREASURY CAPITAL GBP 4288.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 25/07/16 TREASURY CAPITAL GBP 4158.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/07/16 TREASURY CAPITAL GBP 4133.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 16/06/16 TREASURY CAPITAL GBP 4093.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 09/05/16 TREASURY CAPITAL GBP 4018.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 06/05/16 TREASURY CAPITAL GBP 3993.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/04/16 TREASURY CAPITAL GBP 3833.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 21/04/16 TREASURY CAPITAL GBP 3808.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 20/04/16 TREASURY CAPITAL GBP 3793.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 11/04/16 TREASURY CAPITAL GBP 3713.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/04/16 TREASURY CAPITAL GBP 3697.005 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 17/03/16 TREASURY CAPITAL GBP 3672.005 | |
SH04 | 04/04/16 TREASURY CAPITAL GBP 3622.005 | |
LATEST SOC | 29/04/16 STATEMENT OF CAPITAL;GBP 33724.958 | |
AR01 | 12/04/16 NO MEMBER LIST | |
CH04 | CORPORATE SECRETARY'S CHANGE OF PARTICULARS / JUPITER ASSET MANAGEMENT LIMITED / 04/01/2016 | |
CH01 | DIRECTOR'S CHANGE OF PARTICULARS / SIMON JOHN DONNE BAKER / 04/01/2016 | |
CH01 | DIRECTOR'S CHANGE OF PARTICULARS / POLLY COURTICE / 04/01/2016 | |
CH01 | DIRECTOR'S CHANGE OF PARTICULARS / MR MICHAEL ANTHONY NAYLOR / 04/01/2016 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 11/02/16 TREASURY CAPITAL GBP 3643.96 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 08/02/16 TREASURY CAPITAL GBP 3613.96 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/02/16 TREASURY CAPITAL GBP 3578.96 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 03/02/16 TREASURY CAPITAL GBP 3553.96 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 22/01/16 TREASURY CAPITAL GBP 3533.96 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/01/16 TREASURY CAPITAL GBP 3025.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 10/12/15 TREASURY CAPITAL GBP 3000.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 14/12/15 TREASURY CAPITAL GBP 2500.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 17/11/15 TREASURY CAPITAL GBP 2470.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 25/11/15 TREASURY CAPITAL GBP 1970.85 | |
AD01 | REGISTERED OFFICE CHANGED ON 08/01/2016 FROM 1 GROSVENOR PLACE LONDON SW1X 7JJ | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 06/11/15 TREASURY CAPITAL GBP 1385.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/11/15 TREASURY CAPITAL GBP 1425.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/10/15 TREASURY CAPITAL GBP 1470.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 26/10/15 TREASURY CAPITAL GBP 1383.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 14/10/15 TREASURY CAPITAL GBP 1273.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 09/10/15 TREASURY CAPITAL GBP 1238.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/10/15 TREASURY CAPITAL GBP 1358.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 28/09/15 TREASURY CAPITAL GBP 1188.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 10/09/15 TREASURY CAPITAL GBP 1128.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/09/15 TREASURY CAPITAL GBP 1048.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/09/15 TREASURY CAPITAL GBP 1011.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 02/09/15 TREASURY CAPITAL GBP 951.85 | |
RES13 | SECTION 701 OF CA 2006 02/09/2015 | |
RES10 | AUTHORISED ALLOTMENT OF SHARES AND DEBENTURES | |
TM01 | APPOINTMENT TERMINATED, DIRECTOR PEREGRINE CROSTHWAITE | |
TM01 | APPOINTMENT TERMINATED, DIRECTOR CHARLES CROLE | |
AA | FULL ACCOUNTS MADE UP TO 31/03/15 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 11/08/15 TREASURY CAPITAL GBP 926.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/08/15 TREASURY CAPITAL GBP 906.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/08/15 TREASURY CAPITAL GBP 806.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 10/08/15 TREASURY CAPITAL GBP 856.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 30/07/15 TREASURY CAPITAL GBP 776.85 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 08/06/15 TREASURY CAPITAL GBP 751.85 | |
AP01 | DIRECTOR APPOINTED SIMON JOHN DONNE BAKER | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 26/05/15 TREASURY CAPITAL GBP 708.35 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 02/06/15 TREASURY CAPITAL GBP 733.35 | |
AR01 | 12/04/15 FULL LIST | |
SH01 | 02/04/15 STATEMENT OF CAPITAL GBP 33704.44 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 24/04/15 TREASURY CAPITAL GBP 626.85 | |
LATEST SOC | 02/06/15 STATEMENT OF CAPITAL;GBP 334720.20815 | |
SH01 | 20/04/15 STATEMENT OF CAPITAL GBP 334724.96 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/04/15 TREASURY CAPITAL GBP 51370.587 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/04/15 TREASURY CAPITAL GBP 51350.587 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 02/04/15 TREASURY CAPITAL GBP 51300.587 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 10/03/15 TREASURY CAPITAL GBP 51131.555 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 20/03/15 TREASURY CAPITAL GBP 51156.555 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 24/03/15 TREASURY CAPITAL GBP 51256.587 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 23/03/15 TREASURY CAPITAL GBP 51206.555 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 17/03/15 TREASURY CAPITAL GBP 51101.555 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/03/15 TREASURY CAPITAL GBP 51077.555 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 09/03/15 TREASURY CAPITAL GBP 51042.555 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/02/15 TREASURY CAPITAL GBP 50981.555 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 11/02/15 TREASURY CAPITAL GBP 51017.555 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/02/15 TREASURY CAPITAL GBP 50965.555 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 27/01/15 TREASURY CAPITAL GBP 50935.555 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 27/11/14 TREASURY CAPITAL GBP 50900.555 | |
AA | FULL ACCOUNTS MADE UP TO 31/03/14 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/09/14 TREASURY CAPITAL GBP 50875.555 | |
RES01 | ADOPT ARTICLES 31/07/2014 | |
RES09 | AUTHORITY- PURCHASE SHARES OTHER THAN FROM CAPITAL | |
RES11 | DISAPPLICATION OF PRE-EMPTION RIGHTS | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 02/05/14 TREASURY CAPITAL GBP 50721.48 | |
CH01 | DIRECTOR'S CHANGE OF PARTICULARS / MR PEREGRINE KENNETH OUGHTON CROSTHWAITE / 13/05/2014 | |
CH01 | DIRECTOR'S CHANGE OF PARTICULARS / POLLY COURTICE / 13/05/2014 | |
AD02 | SAIL ADDRESS CHANGED FROM: CAPITA REGISTRARS NORTHERN HOUSE WOODSOME PARK FENAY BRIDGE HUDDERSFIELD HD8 0GA UNITED KINGDOM | |
CH01 | DIRECTOR'S CHANGE OF PARTICULARS / MR MICHAEL ANTHONY NAYLOR / 13/05/2014 | |
LATEST SOC | 19/05/14 STATEMENT OF CAPITAL;GBP 271091.22 | |
AR01 | 12/04/14 FULL LIST | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 22/04/14 TREASURY CAPITAL GBP 42985.35 | |
SH01 | 03/04/14 STATEMENT OF CAPITAL GBP 336330.56 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 16/01/14 TREASURY CAPITAL GBP 37985.35 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 10/01/14 TREASURY CAPITAL GBP 37735.35 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/01/14 TREASURY CAPITAL GBP 37335.35 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 19/12/13 TREASURY CAPITAL GBP 37135.35 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 10/12/13 TREASURY CAPITAL GBP 26897.48 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/11/13 TREASURY CAPITAL GBP 25897.48 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 25/10/13 TREASURY CAPITAL GBP 16397.48 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 23/10/13 TREASURY CAPITAL GBP 16147.48 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 11/10/13 TREASURY CAPITAL GBP 15620.4 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 16/10/13 TREASURY CAPITAL GBP 15897.48 | |
SH06 | 15/10/13 STATEMENT OF CAPITAL GBP 585762.20 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH06 | 14/10/13 STATEMENT OF CAPITAL GBP 286112.20 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH06 | 29/08/13 STATEMENT OF CAPITAL GBP 293522.20 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH06 | 24/07/13 STATEMENT OF CAPITAL GBP 308391.95 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
AA | FULL ACCOUNTS MADE UP TO 31/03/13 | |
SH06 | 28/06/13 STATEMENT OF CAPITAL GBP 308641.95 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH06 | 11/06/13 STATEMENT OF CAPITAL GBP 308891.95 | |
SH06 | 11/06/13 STATEMENT OF CAPITAL GBP 309141.95 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH06 | 14/05/13 STATEMENT OF CAPITAL GBP 310821.19 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH06 | 30/04/13 STATEMENT OF CAPITAL GBP 311071.19 | |
SH06 | 30/04/13 STATEMENT OF CAPITAL GBP 311571.19 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
AR01 | 12/04/13 NO MEMBER LIST | |
SH06 | 17/04/13 STATEMENT OF CAPITAL GBP 301972.52 | |
SH06 | 17/04/13 STATEMENT OF CAPITAL GBP 302765 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH06 | 12/04/13 STATEMENT OF CAPITAL GBP 304600.15 | |
SH06 | 08/04/13 STATEMENT OF CAPITAL GBP 304445.15 | |
SH06 | 08/04/13 STATEMENT OF CAPITAL GBP 304265 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH06 | 02/04/13 STATEMENT OF CAPITAL GBP 17500 |
Total # Mortgages/Charges | 0 |
---|---|
Mortgages/Charges outstanding | 0 |
Mortgages Partially Satisifed | 0 |
Mortgages Satisfied/Paid | 0 |
Average | Max | |
MortgagesNumMortCharges | 1.50 | 99 |
MortgagesNumMortOutstanding | 0.95 | 93 |
MortgagesNumMortPartSatisfied | 0.00 | 7 |
MortgagesNumMortSatisfied | 0.54 | 96 |
This shows the max and average number of mortgages for companies with the same SIC code of 64301 - Activities of investment trusts
The top companies supplying to UK government with the same SIC code (64301 - Activities of investment trusts) as JUPITER GREEN INVESTMENT TRUST PLC are:
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 |
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