16-Sep-2011 03:49 PM
Octopus Titan VCT2's net asset value per share on a total return basis rose to 95.1p at the end of July - up from 94.85p at the end of April.
It said performance of the VCT had been relatively stable in the period and the manager had not made any
17-Feb-2010 01:48 PM
Octopus Titan VCT 2's net asset value per share stood at 95.1p at the end of January - down from 96.1p at the end of October.
It said the main reasons for the fall in the NAV, alongside the annual running costs, have been the fund's investments
03-Feb-2010 04:08 PM
Octopus Titan VCT 2's net asset value per share stood at 96.1p at the end of October.
This was up from 89.9p at the end of the financial year in 2008.
Net assets stood at £15.01m compared with £14.04m in 2008.
Story provided by Business Finan