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Foresight 3 VCT plc Notification of interests of Directors and Persons Discharging Managerial Responsibility The Board of Foresight 3 VCT plc...
News) - Investment funds Foresight 3 VCT PLC and Foresight 4 VCT PLC on Thursday outlined plans to merge to create a f ...
Foresight 3 VCT plc Statement re Possible Merger with Foresight 4 VCT plc The Board announces that, further to its discussions with Foresight 4...
FORESIGHT 3 VCT PLC 12 September 2016 Possible merger between Foresight 3 VCT plc ("F3") and Foresight 4 VCT plc ("F4"...
AGM Statement The Board of Foresight 3 VCT plc announces that at the AGM held on 30 August 2016 all of the resolutions were duly passed. The...
Foresight 3 VCT plc NAV Announcement The Board of Foresight 3 VCT plc is pleased to announce that the Net Asset Value as at 30 June 2016 was...
FORESIGHT 3 VCT PLC 2016 Highlights -- Net asset value per Ordinary Share at 31 March 2016 was 59.6p (31 March 2015: 66.8p). After allowing for...
TRANSACTION IN OWN SECURITIES The Board of Foresight 3 VCT plc announces that on 31 March 2016 the Company purchased for cancellation 283,877...
Foresight 3 VCT plc: NAV Announcement & Dividend Declaration The Board of Foresight 3 VCT plc announces the following Net Asset Value as at...
Foresight 3 VCT plc 24 February 2016 DISCLOSURE OF HOME MEMBER STATE For the purposes of the Transparency Directive (Directive 2004/109/EC), as...
TRANSACTION IN OWN SECURITIES The Board of Foresight 3 VCT plc announces that on 18 December 2015 the Company purchased for cancellation 50,000...
FORESIGHT 3 VCT PLC Summary -- Net asset value per Ordinary Share for the six month period ended 30 September 2015 decreased by 6.3%, represented...
TRANSACTION IN OWN SECURITIES The Board of Foresight 3 VCT plc announces that on 30 September 2015 the Company purchased for cancellation 200,000...
Foresight 3 VCT plc NAV Announcement The Board of Foresight 3 VCT plc is pleased to announce that the Net Asset Value as at 30 June 2015 was...
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