TIDMRTY 
 
RNS Number : 4168E 
Rutley European Property Limited 
30 December 2009 
 

BLOCK LISTING SIX MONTHLY RETURN 
 
 
Information provided on this form must be typed or printed electronically and 
provided to an ris. 
 
 
Date: 30 December 2009 
 
 
+-------------------+--------+-----------+--------+---------------+ 
| Name of                    | Rutley European Property           | 
| applicant:                 | Limited                            | 
+----------------------------+------------------------------------+ 
| Name of scheme:            | General Corporate                  | 
|                            | Purposes Scheme                    | 
+----------------------------+------------------------------------+ 
| Period            | From:  | 28        | To:    | 27            | 
| of                |        | June 2009 |        | December 2009 | 
| return:           |        |           |        |               | 
+-------------------+--------+-----------+--------+---------------+ 
| Balance of                 | 9,324,299                          | 
| unallotted                 |                                    | 
| securities                 |                                    | 
| under scheme(s)            |                                    | 
| from previous              |                                    | 
| return:                    |                                    | 
+----------------------------+------------------------------------+ 
| Plus:  The                 | -                                  | 
| amount by which            |                                    | 
| the block                  |                                    | 
| scheme(s) has              |                                    | 
| been increased             |                                    | 
| since the date             |                                    | 
| of the last                |                                    | 
| return (if any             |                                    | 
| increase has               |                                    | 
| been applied               |                                    | 
| for):                      |                                    | 
+----------------------------+------------------------------------+ 
| Less:  Number              | -                                  | 
| of                         |                                    | 
| securities issued/allotted |                                    | 
| under scheme(s) during     |                                    | 
| period (see LR3.5.7G):     |                                    | 
+----------------------------+------------------------------------+ 
| Equals:                    | 9,324,299                          | 
| Balance under              |                                    | 
| scheme(s) not              |                                    | 
| yet                        |                                    | 
| issued/allotted            |                                    | 
| at end of                  |                                    | 
| period:                    |                                    | 
+-------------------+--------+-----------+--------+---------------+ 
 
 
+-----------+----------------+ 
| Name      | Northern       | 
| of        | Trust          | 
| contact:  | International  | 
|           | Fund           | 
|           | Administration | 
|           | (Guernsey)     | 
|           | Limited        | 
+-----------+----------------+ 
| Telephone | 01481 745604   | 
| number of |                | 
| contact:  |                | 
+-----------+----------------+ 
 
 
 
This information is provided by RNS 
            The company news service from the London Stock Exchange 
   END 
 
 BLRGGMMZVRRGLZM 
 

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