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CITY OF LONDON INVESTMENT GROUP (CLIG)     

BAYLIS - 20 Apr 2008 19:54

Chart.aspx?Provider=EODIntra&Code=CLIG&S

www.citlon.co.uk/

int ex 9/2. fin ex 27/11
City of London Investment Management Company Limited operates from four centers, London, Philadelphia (established 1995), Singapore (established 2000) and Dubai (established 2007), managing assets primarily for institutional investors.

In 2002 and 2003 the investment team started to delve deeper into the stages of country development from "developing" to "developed", especially China and India, and the implications thereof, namely, the rise in the consumption of natural resources.

In 2004, using our in-house equities team, we launched the Natural Resources strategy in order to capitalise on the growing demand for natural resources via a stock selection process.

In 2005, we extended our emerging markets expertise into the frontier markets by launching the Frontier Emerging Markets strategy.

In 2009, we applied our unrivaled knowledge of closed-end funds around the world to the development of a Global Closed-End Fund strategy, using the same investment process as in our Emerging Markets Closed-End Fund strategy.

In 2010, our equity team launched the Emerging Market Equity strategy which aims to achieve long term capital growth from investing in companies which derive the majority of their profits from the emerging economies. The strategy provides diversified global emerging markets exposure, although sector and country allocation will be actively managed and stock selection will reflect a strong thematic overlay.

D M. Cardale – Non-Executive Chairman
Barry. M. Olliff – Chief Executive Officer, Chief Investment Officer
Carlos. M. Yuste – Business Development Director
Tom. W. Griffith – Chief Operating Officer


In 2011, our equity team launched the Emerging Market Equity strategy which aims to achieve long term capital growth from investing in small capitalisation companies which derive the majority of their profits from the emerging economies. The strategy provides diversified global emerging markets exposure, although sector and country allocation will be actively managed and stock selection will reflect a strong thematic overlay.

Stan - 21 Jan 2019 17:30 - 295 of 300

Update https://www.moneyam.com/action/news/showArticle?id=6284433

Fred1new - 21 Jan 2019 17:46 - 296 of 300

Interesting holding.

Because of its yield, I have a return on this share of over 25% although share price is down.


The only snag with it is that the spread varies day to day is often wide.

But suppose you can specify deal prices.

Stan - 21 Jan 2019 21:36 - 297 of 300

Thats true Fred I've also made some money over the years thanks to your original tip.

I tend to go in and out and yes the spread can put some off.

Stan - 18 Feb 2019 08:54 - 298 of 300

Half Year results and Special dividend announcement https://www.moneyam.com/action/news/showArticle?id=6315880

Fred1new - 19 Feb 2019 15:06 - 299 of 300

Notice special div.

skinny - 19 Feb 2019 15:10 - 300 of 300

Link copied.
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