Annual Information Update

RNS Number : 4841R
Acorn Income Fund Ld
03 November 2011
 



ACORN INCOME FUND LIMITED (THE "COMPANY")

ANNUAL INFORMATION UPDATE

 

The Company is pleased to provide an annual information update in accordance with the requirements of the Prospectus Rule 5.2.  This update refers to information about the Company that has been published or made available to the public since 28 May 2010 (the date of the last Annual Information Update).  To avoid an unnecessarily lengthy document, information is referred to in this update rather than included in full.

 

The information referred to in this update was up to date at the time the information was published but some information may now be out of date.

 

All information listed below was announced on the Regulatory News Service on the dates indicated below.

 

1 June 2010

Net Asset Value(s)

4 June 2010

Net Asset Value(s)

7 June 2010

Dividend Declaration

9 June 2010

Transaction in Own Shares

9 June 2010

Annual Financial Report

14 June 2010

Net Asset Value(s)

21 June 2010

Net Asset Value(s)

22 June 2010

Transaction in Own Shares

23 June 2010

Transaction in Own Shares

29 June 2010

Net Asset Value(s)

1 July 2010

Transaction in Own Shares

2 July 2010

Net Asset Value(s)

7 July 2010

Transaction in Own Shares

9 July 2010

Net Asset Value(s)

13 July 2010

Net Asset Value(s)

16 July 2010

Net Asset Value(s)

22 July 2010

Net Asset Value(s)

02 August 2010

Net Asset Value(s)

9 August 2010

Net Asset Value(s)

16 August 2010

Net Asset Value(s)

20 August 2010

Net Asset Value(s)

24 August 2010

Result of General Meeting

24 August 2010

Half Yearly Report

26 August 2010

Half Yearly Report

31 August 2010

Net Asset Value(s)

1 September 2010

Dividend Declaration

6 September 2010

Net Asset Value(s)

9 September 2010

Net Asset Value(s)

13 September 2010

Net Asset Value(s)

17 September 2010

Net Asset Value(s)

21 September 2010

Holding in Company

24 September 2010

Half Yearly Report

27 September 2010

Net Asset Value(s)

7 October 2010

Net Asset Value(s)

8 October 2010

Net Asset Value(s)

15 October 2010

Net Asset Value(s)

22 October 2010

Net Asset Value(s)

29 October 2010

Net Asset Value(s)

2 November 2010

Dividends Declaration

5 November 2010

Net Asset Value(s)

12 November 2010

Net Asset Value(s)

15 November 2010

Interim Management Statement

22 November 2010

Net Asset Value(s)

25 November 2010

Net Asset Value(s)

6 December 2010

Net Asset Value(s)

10 December 2010

Net Asset Value(s)

16 December 2010

Net Asset Value(s)

16 December 2010

Holding(s) in Company

23 December 2010

Net Asset Value(s)

6 January 2011

Net Asset Value(s)

14 January 2011

Net Asset Value(s)

14 January 2011

Net Asset Value(s)

19 January 2011

Net Asset Value(s)

24 January 2011

Net Asset Value(s)

26 January 2011

Holdings in Company

31 January 2011

Net Asset Value(s)

7 February 2011

Holding(s) in Company

17 February 2011

Net Asset Value(s)

17 February 2011

Net Asset Value(s)

17 February 2011

Net Asset Value(s) replacement

18 February 2011

Holding(s) in Company

25 February 2011

Net Asset Value(s)

2 March 2011

Net Asset Value(s)

9 March 2011

Net Asset Value(s)

11 March 2011

Dividend Declaration

14 March 2011

Net Asset Value(s)

17 March 2011

Net Asset Value(s)

29 March 2011

Net Asset Value(s)

1 April 2011

Net Asset Value(s)

7 April 2011

Net Asset Value(s)

13 April 2011

Announcement of Annual Results

15 April 2011

Net Asset Value(s)

26 April 2011

Net Asset Value(s)

6 May 2011

Net Asset Value(s)

12 May 2011

Net Asset Value(s)

12 May 2011

Transaction in Own Shares

19 May 2011

Interim Management Statement

19 May 2011

Net Asset Value(s)

24 May 2011

Net Asset Value(s)

25 May 2011

Annual Financial Report

27 May 2011

Holding(s) in Company

1 June 2011

Net Asset Value(s)

6 June 2011

Net Asset Value(s)

8 June 2011

Dividend Declaration

15 June 2011

Net Asset Value(s)

17 June 2011

Net Asset Value(s)

20 June 2011

Holding(s) in Company

27 June 2011

Net Asset Value(s)

1 July 2011

Transaction in Close Period-Listing Rule 15.5.1(4)

7 July 2011

Net Asset Value(s)

8 July 2011

Net Asset Value(s)

8 July 2011

Holding(s) in Company

8 July 2011

Holding(s) in Company

15 July 2011

Drawdown of Loan Facility

19 July 2011

Net Asset Value(s)

26 July 2011

Net Asset Value(s)

3 August 2011

Net Asset Value(s)

8 August 2011

Net Asset Value(s)

17 August 2011

Net Asset Value(s)

25 August 2011

Half-yearly Report

25 August 2011

Net Asset Value(s)

25 August 2011

Results of GM

31 August 2011

Net Asset Value(s)

31 August 2011

Dividend Declaration

5 September 2011

Half Yearly Report

5 September 2011

Net Asset Value(s)

9 September 2011

Net Asset Value(s)

15 September 2011

Net Asset Value(s)

16 September 2011

Holding in Company

19 September 2011

Net Asset Value(s)

23 September 2011

Net Asset Value(s)

23 September 2011

Half Yearly Report

27 September 2011

Net Asset Value(s)

6 October 2011

Net Asset Value(s)

12 October 2011

Net Asset Value(s)

24 October 2011

Net Asset Value(s)

25 October 2011

Net Asset Value(s)

27 October 2011

Potential Issue of Non Equity Securities

 

The documents listed below were filed with the Guernsey Registry on or around the dates indicated:

 

21 January 2011           Annual Validation

 

The documents listed below were filed with the UK Listing Authority's Document Viewing Facility or National Storage Mechanism and (with the exception of the half-yearly financial report) the Guernsey Financial Services Commission on or around the dates indicated:

 

9 June 2010                 Annual Financial Report

24 September 2010      Half Yearly Financial Report

25 May 2011               Annual Financial Report

23 September 2011      Half Yearly Financial Report

                                                 

 

Copies of the documents referred to as having been filed with the UK Listing Authority, Guernsey Financial Services Commission and Guernsey Registry can be obtained from Anson Fund Managers Limited, Anson Place, Mill Court, La Charroterie, St Peter Port, Guernsey GY1 1EJ. Copies of the documents referred to as having been filed with the National Storage Mechanism can be viewed at the following website: http://www.hemscott.com/nsm.do.

 

Details of regulatory announcements can be downloaded from the Market News page of the London Stock Exchange website at www.londonstockexchange.com (entering code AIF).

 

Copies of documents filed at the Guernsey Registry can also be obtained from the Guernsey Registry, Market Building, PO Box 451, Fountain Street, St Peter Port, Guernsey GY1 3GX.

 

For further information contact:

 

Anson Fund Managers Limited

Secretary

 

Tel: 01481 722260

 

3 November2011

 

E&OE - In transmission

 

 

 


This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
AIUDKNDBOBDDFDK
UK 100

Latest directors dealings