| Date | Time | Source | Announcement |
|---|---|---|---|
| 01 Dec 1999 | 06:22 PM | Net Asset Value | |
| 30 Nov 1999 | 06:19 PM | Net Asset Value | |
| 29 Nov 1999 | 09:07 AM | Net Asset Value | |
| 26 Nov 1999 | 02:10 PM | Purchase of Own Securities | |
| 26 Nov 1999 | 07:01 AM | Doc re Report and Accounts | |
| 25 Nov 1999 | 05:51 PM | Net Asset Value | |
| 24 Nov 1999 | 04:51 PM | Net Asset Value | |
| 23 Nov 1999 | 05:32 PM | Net Asset Value | |
| 22 Nov 1999 | 05:44 PM | Net Asset Value | |
| 19 Nov 1999 | 05:32 PM | Net Asset Value | |
| 19 Nov 1999 | 01:46 PM | Purchase of Own Securities | |
| 19 Nov 1999 | 01:45 PM | Purchase of Own Securities | |
| 18 Nov 1999 | 07:05 AM | Net Asset Value | |
| 17 Nov 1999 | 11:58 AM | Purchase of Own Securities | |
| 17 Nov 1999 | 11:53 AM | Purchase of Own Securities | |
| 16 Nov 1999 | 06:18 PM | Net Asset Value | |
| 16 Nov 1999 | 07:05 AM | Net Asset Value | |
| 11 Nov 1999 | 05:59 PM | Net Asset Value | |
| 11 Nov 1999 | 07:37 AM | Final Dividend | |
| 11 Nov 1999 | 07:30 AM | Results - NAV Up 37% | |
| 10 Nov 1999 | 04:45 PM | Net Asset Value | |
| 09 Nov 1999 | 05:59 PM | Net Asset Value | |
| 05 Nov 1999 | 06:19 PM | Net Asset Value | |
| 05 Nov 1999 | 07:41 AM | Net Asset Value | |
| 03 Nov 1999 | 04:33 PM | Net Asset Value | |
| 02 Nov 1999 | 05:00 PM | Net Asset Value | |
| 02 Nov 1999 | 07:42 AM | Net Asset Value | |
| 29 Oct 1999 | 04:34 PM | Net Asset Value | |
| 27 Oct 1999 | 04:18 PM | Net Asset Value | |
| 26 Oct 1999 | 04:59 PM | Net Asset Value | |
| 26 Oct 1999 | 01:09 PM | Net Asset Value | |
| 22 Oct 1999 | 06:09 PM | Net Asset Value | |
| 21 Oct 1999 | 05:37 PM | Net Asset Value | |
| 20 Oct 1999 | 06:14 PM | Net Asset Value | |
| 19 Oct 1999 | 06:01 PM | Net Asset Value | |
| 18 Oct 1999 | 06:23 PM | Net Asset Value | |
| 15 Oct 1999 | 05:25 PM | Net Asset Value | |
| 14 Oct 1999 | 03:32 PM | Net Asset Value | |
| 13 Oct 1999 | 04:36 PM | Directorate | |
| 13 Oct 1999 | 03:42 PM | Net Asset Value | |
| 12 Oct 1999 | 04:20 PM | Net Asset Value | |
| 11 Oct 1999 | 03:48 PM | Net Asset Value | |
| 08 Oct 1999 | 04:20 PM | Net Asset Value | |
| 07 Oct 1999 | 06:09 PM | Net Asset Value | |
| 06 Oct 1999 | 03:20 PM | Net Asset Value | |
| 01 Oct 1999 | 05:03 PM | Net Asset Value | |
| 01 Oct 1999 | 04:50 PM | Quarterly Dividend | |
| 01 Oct 1999 | 04:18 PM | Index Loan Stock Rate | |
| 30 Sep 1999 | 06:19 PM | Net Asset Value | |
| 30 Sep 1999 | 10:54 AM | Purchase of Loan Stock |
AVI Global Trust is a London-based British investment trust. The company is a constituent of the FTSE 250 Index.
AVI Global Trust share price launched at 15p in 1993.