April 17, 2014 8:56 AM ET

Capital Markets

Company Overview of British Assets Trust plc

Company Overview

British Assets Trust plc is an open-ended equity mutual fund launched by F&C Asset Management plc. The fund is managed by F&C Investment Business Limited. It invests in public equity markets across the globe. The fund benchmarks the performance of its investments against the FTSE All-Share Index and FTSE All-World ex-UK Index. British Assets Trust was formed on January 5, 1898 and is domiciled in United Kingdom.

80 George Street

Edinburgh,  EH2 3BU

United Kingdom

Founded in 1898

Phone:

44 20 7628 8000

Fax:

44 13 1225 2375

Key Executives for British Assets Trust plc

Company Secretary and Investment Manager
Investment Manager
Compensation as of Fiscal Year 2013.

British Assets Trust plc Key Developments

British Assets Trust plc Announces First Quarterly Interim Dividend, Payable on April 11, 2014

The Board of British Assets Trust plc announced that it is declaring a first quarterly interim dividend in respect of the year to 30 September 2014, of 1.485 pence per share on the ordinary shares of the Company. This dividend will be paid on 11 April 2014 to shareholders on the register on 14 March 2014.

British Assets Trust plc - Shareholder/Analyst Call

British Assets Trust plc - Shareholder/Analyst Call

British Assets Trust plc Announces Earnings Results for the Year Ended September 30, 2013

British Assets Trust plc announced earnings results for the year ended September 30, 2013. For the year, the company announced net return before finance costs & taxation of GBP 30,469,000, return on ordinary activities before tax of GBP 56,284,000, return attributable to shareholders of GBP 55,925,000 or 19.3 pence per share compared to net return before finance costs & taxation of GBP 61,605,000, return on ordinary activities before tax of GBP 57,495,000, return attributable to shareholders of GBP 57,024,000 or 19.6 pence per share for the same period a year ago. Net cash inflow from operating activities was GBP 19,486,000 compared to GBP 18,218,000 for the same period a year ago. Closing net debt was GBP 69,886,000 compared to GBP 64,968,000 for the same period a year ago. Net asset value per share was 144.5 pence against 131.4 pence a year ago.

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