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CISX » Listed Securities » Listed Security Detail

Listed Security Detail

Company Name: Geiger Counter Ltd
Security Class: ordinary no par value shares
Sponsor: Ogier Corporate Finance Ltd
Date Listed: 07-07-2006 Maturity Date: -
ISIN: GB00B15FW330 Domicile: Jersey
Mnemonic: GCL Base Currency: GBp
Security Type: Closed Ended Fund

News Items (5 most recent): More News
Company Headline Time/Date
Geiger Counter Ltd Net Asset Value(s) 11:02 03 Sep 2010
Geiger Counter Ltd Net Asset Value(s) 13:20 01 Sep 2010
Geiger Counter Ltd Net Asset Value(s) 16:54 24 Aug 2010
Geiger Counter Ltd Net Asset Value(s) 16:47 18 Aug 2010
Geiger Counter Ltd Net Asset Value(s) 11:31 10 Aug 2010
 
Net Asset Value (5 most recent): More NAVs
Currency NAV Valuation Date
GBp 64 31-08-2010
GBp 63 27-08-2010
GBp 65 20-08-2010
GBp 64 13-08-2010
GBp 65 06-08-2010

Trades (5 most recent) delayed by 20 minutes: View Prices
Price (GBp) Size Action Currency Time/Date Deleted
96.0 8,250 Buy GBp 10:26 04 Mar 2008  
105.0 539,000 Buy GBp 11:20 02 Nov 2007  
100.5 100,000 Buy GBp 13:47 29 Oct 2007  
100.0 100,000 Buy GBp 09:10 29 Oct 2007  
99.5 100,000 Buy GBp 13:30 26 Oct 2007  
There may be price information.


Additional Information:

Company Address:
Ordnance House
31 Pier Road
St Helier
JE4 8PW
Jersey
Category: Fund Of Hedge Funds

Background information:
Geiger Counter Ltd                                                              
ordinary no par value shares                                                    
SPONSOR                                                                         
Ogier Corporate Finance Ltd                                                     
CONTACT/REGISTRAR                                                               
Laura Macintyre                                      TEL 01534 825200           
Rawlinson Hunter                                     FAX                        
CHAIRMAN                                                                        
MANAGER                                                                         
INVESTMENT MGR/ADV                                                              
ADMINISTRATOR/SECRETARY                                                         
CUSTODIAN                                                                       
                                                                                
                                                                                
                                                                                
                                                                                
                                                                                
                                                                                
ISSUED at 08-Mar-10  63,508,533.       AUTHORISED at                            
SETTLEMENT Physical settlement    ISIN No GB00B15FW330     CURRENCY GBp         
FEES Manager                                                                    
     Administrator                                                              
     Investment Mgr/Ad                                                          
     Custodian                                                                  

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