Annual Information Update

RNS Number : 8202V
JPMorgan Eur Fldglng Inv Trust PLC
16 July 2009
 



STOCK EXCHANGE ANNOUNCEMENT


JPMORGAN EUROPEAN FLEDGELING INVESTMENT TRUST PLC


ANNUAL INFORMATION UPDATE


16th July 2009 


Pursuant to Prospectus Rule 5.2, JPMorgan European Fledgeling Investment Trust plc sets out below a brief description of the information published throughout the 12 months ended 16th July 2009, by or for the Company. Further details of the information may be obtained from the Company Secretary (details provided below) and the London Stock Exchange website (www.londonstockexchange.com/rns) or the Registrar of Companies (www.companieshouse.gov.uk). All information was notified to a RIS in London. Some of the information referred to below was provided as at a specified date and may now be out of date.


The Company's net asset values have been announced each business day during the past year. These are not separately noted in the schedule below.


10 July 2009
Holding(s) in Company 
RNS
08 July 2009
Ten Largest Investments 
RNS
07 July 2009
Result of AGM 
RNS
03 June 2009
Final Results 
RNS
02 June 2009
Ten Largest Investments 
RNS
11 May 2009
Holding(s) in Company 
RNS
30 April 2009
Total Voting Rights 
RNS
14 April 2009
Transaction in Own Shares 
RNS
06 April 2009
Increase in Gearing 
RNS
01 April 2009
Listing Rule 15.5.1(4) 
RNS
31 March 2009
Total Voting Rights 
RNS
31 March 2009
Transaction in Own Shares 
RNS
30 March 2009
Transaction in Own Shares 
RNS
18 March 2009
Transaction in Own Shares 
RNS
03 March 2009
Transaction in Own Shares 
RNS
03 March 2009
Ten Largest Investments 
RNS
27 February 2009
Total Voting Rights 
RNS
27 February 2009
Transaction in Own Shares 
RNS
25 February 2009
Transaction in Own Shares 
RNS
20 February 2009
Transaction in Own Shares 
RNS
18 February 2009
Holding(s) in Company 
RNS
17 February 2009
Transaction in Own Shares 
RNS
12 February 2009
Interim Management Statement 
RNS
03 February 2009
Ten Largest Investments 
RNS
30 January 2009
Total Voting Rights 
RNS
29 January 2009
Holding(s) in Company 
RNS
08 January 2009
Transaction in Own Shares 
RNS
07 January 2009
Ten Largest Investments 
RNS
02 January 2009
Total Voting Rights 
RNS
17 December 2008
Document Viewing Facility 
RNS
05 December 2008
Transaction in Own Shares 
RNS
02 December 2008
Ten Largest Investments 
RNS
28 November 2008
Total Voting Rights 
RNS
28 November 2008
Interim Results 
RNS
06 November 2008
Transaction in Own Shares 
RNS
06 November 2008
Holding(s) in Company 
RNS
04 November 2008
Ten Largest Investments 
RNS
31 October 2008
Total Voting Rights 
RNS
28 October 2008
Transaction in Own Shares 
RNS
17 October 2008
Holding(s) in Company 
RNS
02 October 2008
Ten Largest Investments 
RNS
01 October 2008
Listing Rule 15.5.1(4) 
RNS
03 September 2008
Ten Largest Investments 
RNS
05 August 2008
Ten Largest Investments - Rep 
RNS
04 August 2008
Ten Largest Investments 
RNS
31 July 2008
Total Voting Rights 
RNS



The documents listed below were filed with Companies house. Copies of these documents can be obtained from Companies House or through Companies House direct at
www.direct.companieshouse.gov.uk.




169(1B)

10/06/2009

14/04/09

GBP TI 25000@0.25=6250

169(1B)

10/06/2009

31/03/09 
GBP TI 75000@0.25=18750 

169(1B)

10/06/2009

27/03/09 
GBP TI 22000@0.25=5500 

AA

07/06/2009

FULL ACCOUNTS MADE UP TO 31/03/09 

363a

06/06/2009

RETURN MADE UP TO 03/05/09FULL LIST OF MEMBERS 

169(1B)

14/05/2009

25/02/09 
GBP TI 41500@0.0025=103.75 

169(1B)

14/05/2009

27/02/09 
GBP TI 45000@0.0025=112.5 

169(1B)

14/05/2009

03/03/09 
GBP TI 20000@0.0025=50 

169A(2)

20/03/2009

18/03/09 
GBP TR 2579875@0.0025=6449.6875 
GBP IC 12823299/12816849.3125 

169(1B)

19/03/2009

17/02/09 
GBP TI 62500@0.25=15625 

169(1B)

19/03/2009

20/02/09 
GBP TI 51670@0.25=12917.5 

169(1B)

07/02/2009

08/01/09 
GBP TI 121000@0.25=30250 

353a

22/01/2009

LOCATION OF REGISTER OF MEMBERS (NON LEGIBLE) 

169(1B)

08/01/2009

05/12/08 
GBP TI 56000@0.25=14000 

169(1B)

08/12/2008

06/11/08 
GBP TI 307000@0.25=76750 

169(1B)

20/11/2008

28/10/08 
GBP TI 100000@0.0025=250 

169(1B)

07/08/2008

04/07/08 
GBP TI 180000@0.25=45000 

169(1B)

24/07/2008

27/06/08 
GBP TI 205000@0.25=51250 

169(1B)

23/07/2008

20/06/08 
GBP TI 76000@0.0025=190 

RES01

09/07/2008

SELL SHARES FROM TREASURY 08/07/2008 
DISAPP 
PRE-EMPT RIGHTS 08/07/2008 
ISSUED 58141517 SHARES AT 0.25P EACH 
08/07/2008 
ADOPT ARTICLES 
08/07/2008 

169(1B)

04/07/2008

06/06/08 
GBP TI 63000@0.0025=157.5 

169(1B)

18/06/2008

24/05/07 
GBP TI 140000@0.25=35000 

169(1B)

11/06/2008

09/05/08 
GBP TI 45000@0.0025=112.5 

169(1B)

06/06/2008

02/05/08 
GBP TI 78000@0.0025=195 

AA

04/06/2008

FULL ACCOUNTS MADE UP TO 31/03/08 



For further information, please contact:


Jonathan Latter

JPMorgan Asset Management (UK) Limited, Company Secretary 

020 7742 6000







This information is provided by RNS
The company news service from the London Stock Exchange
 
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