| Date | Time | Source | Announcement |
|---|---|---|---|
| 19 Feb 2018 | 02:15 PM | Net Asset Value(s) | |
| 16 Feb 2018 | 02:12 PM | Net Asset Value(s) | |
| 15 Feb 2018 | 12:33 PM | Net Asset Value(s) | |
| 14 Feb 2018 | 01:13 PM | Net Asset Value(s) | |
| 13 Feb 2018 | 02:06 PM | Net Asset Value(s) | |
| 12 Feb 2018 | 03:23 PM | Net Asset Value(s) | |
| 09 Feb 2018 | 02:51 PM | Net Asset Value(s) | |
| 08 Feb 2018 | 02:30 PM | Net Asset Value(s) | |
| 07 Feb 2018 | 02:34 PM | Net Asset Value(s) | |
| 06 Feb 2018 | 02:34 PM | Net Asset Value(s) | |
| 05 Feb 2018 | 03:11 PM | Net Asset Value(s) | |
| 02 Feb 2018 | 02:25 PM | Net Asset Value(s) | |
| 01 Feb 2018 | 02:47 PM | Net Asset Value(s) | |
| 31 Jan 2018 | 01:55 PM | Net Asset Value(s) | |
| 30 Jan 2018 | 02:15 PM | Net Asset Value(s) | |
| 29 Jan 2018 | 01:55 PM | Net Asset Value(s) | |
| 26 Jan 2018 | 03:31 PM | Sale of Treasury Shares | |
| 26 Jan 2018 | 02:30 PM | Net Asset Value(s) | |
| 25 Jan 2018 | 02:24 PM | Net Asset Value(s) | |
| 24 Jan 2018 | 01:55 PM | Net Asset Value(s) | |
| 23 Jan 2018 | 12:23 PM | Net Asset Value(s) | |
| 22 Jan 2018 | 12:05 PM | Net Asset Value(s) | |
| 19 Jan 2018 | 01:02 PM | Net Asset Value(s) | |
| 18 Jan 2018 | 03:03 PM | Sale of Treasury Shares | |
| 18 Jan 2018 | 12:56 PM | Net Asset Value(s) | |
| 18 Jan 2018 | 09:52 AM | Dividend Declaration | |
| 17 Jan 2018 | 02:09 PM | Net Asset Value(s) | |
| 16 Jan 2018 | 02:11 PM | Net Asset Value(s) | |
| 15 Jan 2018 | 12:55 PM | Net Asset Value(s) | |
| 12 Jan 2018 | 12:17 PM | Net Asset Value(s) | |
| 11 Jan 2018 | 02:18 PM | Net Asset Value(s) | |
| 10 Jan 2018 | 03:46 PM | Sale of Treasury Shares | |
| 10 Jan 2018 | 01:49 PM | Net Asset Value(s) | |
| 09 Jan 2018 | 02:39 PM | Net Asset Value(s) | |
| 08 Jan 2018 | 02:08 PM | Net Asset Value(s) | |
| 05 Jan 2018 | 03:03 PM | Net Asset Value(s) | |
| 04 Jan 2018 | 02:12 PM | Net Asset Value(s) | |
| 03 Jan 2018 | 03:17 PM | Sale of Treasury Shares | |
| 03 Jan 2018 | 02:15 PM | Net Asset Value(s) | |
| 02 Jan 2018 | 03:10 PM | Net Asset Value(s) | |
| 29 Dec 2017 | 12:07 PM | Net Asset Value(s) | |
| 29 Dec 2017 | 12:06 PM | PRIIP Key Information Document | |
| 28 Dec 2017 | 03:09 PM | Net Asset Value(s) | |
| 27 Dec 2017 | 01:42 PM | Net Asset Value(s) | |
| 22 Dec 2017 | 12:14 PM | Net Asset Value(s) | |
| 21 Dec 2017 | 02:41 PM | Net Asset Value(s) | |
| 20 Dec 2017 | 02:27 PM | Net Asset Value(s) | |
| 19 Dec 2017 | 02:52 PM | Net Asset Value(s) | |
| 18 Dec 2017 | 01:48 PM | Sale of Treasury Shares | |
| 18 Dec 2017 | 01:31 PM | Net Asset Value(s) |
CQS New City High Yield Fund Limited is a Jersey-based investment company aiming for high dividend yields and capital growth by investing mainly in fixed-income securities (bonds, loan stocks, preference shares) with some equity exposure, focused on income-generating assets.
Listed on the London Stock Exchange under the ticker NCYF, the fund is managed by CQS.
NCYF share price launched at 109p in 1993.