Liquidation
Company Information for ABERDEEN UK TRACKER TRUST PLC
C/O ERNEST & YOUNG LLP, 1 MORE LONDON PLACE, LONDON, SE1 2AF,
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Company Registration Number
02476057
Public Limited Company
Liquidation |
Company Name | ||
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ABERDEEN UK TRACKER TRUST PLC | ||
Legal Registered Office | ||
C/O ERNEST & YOUNG LLP 1 MORE LONDON PLACE LONDON SE1 2AF Other companies in EC4M | ||
Previous Names | ||
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Company Number | 02476057 | |
---|---|---|
Company ID Number | 02476057 | |
Date formed | 1990-03-01 | |
Country | ||
Origin Country | United Kingdom | |
Type | Public Limited Company | |
CompanyStatus | Liquidation | |
Lastest accounts | 08/03/2017 | |
Account next due | 30/06/2017 | |
Latest return | 01/06/2016 | |
Return next due | 29/06/2017 | |
Type of accounts | FULL |
Last Datalog update: | 2023-01-06 16:42:33 |
Companies House |
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Date | Document Type | Document Description |
---|---|---|
Final Gazette dissolved via compulsory strike-off | ||
GAZ2 | Final Gazette dissolved via compulsory strike-off | |
Voluntary liquidation. Notice of members return of final meeting | ||
LIQ13 | Voluntary liquidation. Notice of members return of final meeting | |
LIQ03 | Voluntary liquidation Statement of receipts and payments to 2022-04-05 | |
LIQ10 | Removal of liquidator by court order | |
600 | Appointment of a voluntary liquidator | |
LIQ03 | Voluntary liquidation Statement of receipts and payments to 2021-04-05 | |
LIQ03 | Voluntary liquidation Statement of receipts and payments to 2020-04-05 | |
LIQ03 | Voluntary liquidation Statement of receipts and payments to 2019-04-05 | |
LIQ03 | Voluntary liquidation Statement of receipts and payments to 2018-04-05 | |
TM02 | Termination of appointment of Aberdeen Asset Management Plc on 2017-04-06 | |
TM01 | APPOINTMENT TERMINATED, DIRECTOR PAUL YATES | |
TM01 | APPOINTMENT TERMINATED, DIRECTOR WENDY MAYALL | |
TM01 | APPOINTMENT TERMINATED, DIRECTOR THOMAS CHALLENOR | |
TM01 | APPOINTMENT TERMINATED, DIRECTOR KEVIN INGRAM | |
AD02 | Register inspection address changed from C/O Computershare Investor Services Plc the Pavilions Bridgwater Road Bristol BS99 6ZZ United Kingdom to Bow Bells House 1 Bread Street London EC4M 9HH | |
AD01 | REGISTERED OFFICE CHANGED ON 02/05/17 FROM Bow Bells House 1 Bread Street London EC4M 9HH | |
600 | Appointment of a voluntary liquidator | |
4.70 | Declaration of solvency | |
LRESSP | Resolutions passed:
| |
RES13 | THE SCHEME 29/03/2017 | |
RES12 | VARYING SHARE RIGHTS AND NAMES | |
RES01 | ADOPT ARTICLES 07/04/17 | |
EXOF | London Stock Exchange corporate action. Exchange of ORD GBP0.10 for COAF: UK600096002Y2016 ASIN: GB0005596985 | |
EXOF | London Stock Exchange corporate action. Exchange of ORD GBP0.10 for COAF: UK600096002Y2016 ASIN: GB0005596985 | |
EXOF | London Stock Exchange corporate action. Exchange of ORD GBP0.10 for COAF: UK600096002Y2016 ASIN: GB0005596985 | |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
DVCA | London Stock Exchange corporate action. Cash Dividend of GBP0.10 for COAF: UK600098655Y2017 ASIN: GB0005596985 | |
EXOF | London Stock Exchange corporate action. Exchange of GBP0.10 for COAF: UK600096002Y2016 ASIN: GB0005596985 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 16/01/17 TREASURY CAPITAL GBP 516350 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 20/01/17 TREASURY CAPITAL GBP 519650 | |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
EXOF | London Stock Exchange corporate action. Exchange of GBP0.10 for COAF: UK600096002Y2016 ASIN: GB0005596985 | |
SH03 | Purchase of own shares. Shares purchased into treasury
| |
SH03 | RETURN OF PURCHASE OF OWN SHARES 22/12/16 TREASURY CAPITAL GBP 454000 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/12/16 TREASURY CAPITAL GBP 465050 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 30/12/16 TREASURY CAPITAL GBP 475450 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 14/11/16 TREASURY CAPITAL GBP 444250 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/11/16 TREASURY CAPITAL GBP 439250 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 26/10/16 TREASURY CAPITAL GBP 431150 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 31/10/16 TREASURY CAPITAL GBP 434050 | |
EXOF | London Stock Exchange corporate action. Exchange of GBP0.10 for COAF: UK600096002Y2016 ASIN: GB0005596985 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 19/10/16 TREASURY CAPITAL GBP 416365 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/10/16 TREASURY CAPITAL GBP 394134.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/10/16 TREASURY CAPITAL GBP 384784.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 08/09/16 TREASURY CAPITAL GBP 372234.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/09/16 TREASURY CAPITAL GBP 370534.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 02/09/16 TREASURY CAPITAL GBP 367784.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/09/16 TREASURY CAPITAL GBP 368534.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 24/08/16 TREASURY CAPITAL GBP 367284.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/09/16 TREASURY CAPITAL GBP 364784.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 23/08/16 TREASURY CAPITAL GBP 358434.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/08/16 TREASURY CAPITAL GBP 355584.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 17/08/16 TREASURY CAPITAL GBP 347384.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 16/08/16 TREASURY CAPITAL GBP 344934.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/08/16 TREASURY CAPITAL GBP 343209.6 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/07/16 TREASURY CAPITAL GBP 342829.6 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 28/07/16 TREASURY CAPITAL GBP 329979.6 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 22/08/16 TREASURY CAPITAL GBP 352384.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 18/08/16 TREASURY CAPITAL GBP 350634.1 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 27/07/16 TREASURY CAPITAL GBP 324229.6 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 26/07/16 TREASURY CAPITAL GBP 319279.6 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 25/07/16 TREASURY CAPITAL GBP 310279.6 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 22/07/16 TREASURY CAPITAL GBP 304779.6 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 21/07/16 TREASURY CAPITAL GBP 292889.4 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 20/07/16 TREASURY CAPITAL GBP 282789.4 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 19/07/16 TREASURY CAPITAL GBP 273039.4 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 18/07/16 TREASURY CAPITAL GBP 266189.4 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 09/08/16 TREASURY CAPITAL GBP 265689.4 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 08/07/16 TREASURY CAPITAL GBP 258294.4 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/07/16 TREASURY CAPITAL GBP 251409.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 11/07/16 TREASURY CAPITAL GBP 251609.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/07/16 TREASURY CAPITAL GBP 254109.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/07/16 TREASURY CAPITAL GBP 255209.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 14/07/16 TREASURY CAPITAL GBP 255509.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/07/16 TREASURY CAPITAL GBP 256809.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/07/16 TREASURY CAPITAL GBP 250309.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/07/16 TREASURY CAPITAL GBP 250409.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 06/07/16 TREASURY CAPITAL GBP 250909.7 | |
AA | INTERIM ACCOUNTS MADE UP TO 30/06/16 | |
DVCA | London Stock Exchange corporate action. Cash Dividend of GBP0.10 for COAF: UK600093161Y2016 ASIN: GB0005596985 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 17/05/16 TREASURY CAPITAL GBP 250059.7 | |
LATEST SOC | 02/06/16 STATEMENT OF CAPITAL;GBP 10042851.8 | |
AR01 | 01/06/16 NO MEMBER LIST | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 20/04/16 TREASURY CAPITAL GBP 249859.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 14/04/16 TREASURY CAPITAL GBP 245459.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/04/16 TREASURY CAPITAL GBP 247759.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/04/16 TREASURY CAPITAL GBP 242959.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 06/04/16 TREASURY CAPITAL GBP 242459.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/04/16 TREASURY CAPITAL GBP 242109.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/04/16 TREASURY CAPITAL GBP 242009.7 | |
RES10 | AUTHORISED ALLOTMENT OF SHARES AND DEBENTURES | |
RES10 | AUTHORISED ALLOTMENT OF SHARES AND DEBENTURES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 31/03/16 TREASURY CAPITAL GBP 240479.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 30/03/16 TREASURY CAPITAL GBP 240379.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 24/03/16 TREASURY CAPITAL GBP 240279.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 23/03/16 TREASURY CAPITAL GBP 239839.7 | |
AA | FULL ACCOUNTS MADE UP TO 31/12/15 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/02/16 TREASURY CAPITAL GBP 222839.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 01/03/16 TREASURY CAPITAL GBP 235839.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 26/02/16 TREASURY CAPITAL GBP 235339.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 23/02/16 TREASURY CAPITAL GBP 225339.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 18/02/16 TREASURY CAPITAL GBP 207414.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 22/02/16 TREASURY CAPITAL GBP 215264.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 19/02/16 TREASURY CAPITAL GBP 210814.7 | |
DVCA | London Stock Exchange corporate action. Cash Dividend of GBP0.10 for COAF: UK600088427Y2016 ASIN: GB0005596985 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/12/15 TREASURY CAPITAL GBP 202414.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/08/15 TREASURY CAPITAL GBP 202314.7 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 06/08/15 TREASURY CAPITAL GBP 199720 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/08/15 TREASURY CAPITAL GBP 199620 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 06/08/15 TREASURY CAPITAL GBP 199720 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/08/15 TREASURY CAPITAL GBP 199620 | |
AA | INTERIM ACCOUNTS MADE UP TO 30/06/15 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 08/04/15 TREASURY CAPITAL GBP 199120 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 30/06/15 TREASURY CAPITAL GBP 197620 | |
DVCA | London Stock Exchange corporate action. Cash Dividend of GBP0.10 for COAF: UK600082431Y2015 ASIN: GB0005596985 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/06/15 TREASURY CAPITAL GBP 188870 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 23/06/15 TREASURY CAPITAL GBP 183870 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/06/15 TREASURY CAPITAL GBP 178870 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 11/06/15 TREASURY CAPITAL GBP 176870 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/05/15 TREASURY CAPITAL GBP 174370 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 26/05/15 TREASURY CAPITAL GBP 172370 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/05/15 TREASURY CAPITAL GBP 170270 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/05/15 TREASURY CAPITAL GBP 171770 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/05/15 TREASURY CAPITAL GBP 168420 | |
LATEST SOC | 01/06/15 STATEMENT OF CAPITAL;GBP 10125741.5 | |
AR01 | 01/06/15 NO MEMBER LIST | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 14/04/15 TREASURY CAPITAL GBP 165420 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 10/04/15 TREASURY CAPITAL GBP 162420 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/04/15 TREASURY CAPITAL GBP 161420 | |
RES13 | MARKET PURCHASE MAX NO PURCHASED IS 15209890 AND MIN PRICE PAID IS 10P. 29/04/2015 | |
RES10 | AUTHORISED ALLOTMENT OF SHARES AND DEBENTURES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 09/04/15 TREASURY CAPITAL GBP 160220 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 02/04/15 TREASURY CAPITAL GBP 157420 | |
AA | FULL ACCOUNTS MADE UP TO 31/12/14 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 05/03/15 TREASURY CAPITAL GBP 154920 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 03/03/15 TREASURY CAPITAL GBP 153320 | |
DVCA | London Stock Exchange corporate action. Cash Dividend of GBP0.10 for COAF: UK600078139Y2015 ASIN: GB0005596985 | |
TM01 | APPOINTMENT TERMINATED, DIRECTOR CHRISTOPHER PURVIS | |
AP01 | DIRECTOR APPOINTED MR. THOMAS WILLIAM CHALLENOR | |
TM01 | APPOINTMENT TERMINATED, DIRECTOR DAVID HAGER | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 26/08/14 TREASURY CAPITAL GBP 151320 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 22/08/14 TREASURY CAPITAL GBP 148820 | |
AA | INTERIM ACCOUNTS MADE UP TO 30/06/14 | |
DVCA | London Stock Exchange corporate action. Cash Dividend of GBP0.10 for COAF: UK600072208Y2014 ASIN: GB0005596985 | |
LATEST SOC | 02/06/14 STATEMENT OF CAPITAL;GBP 10153861.5 | |
AR01 | 01/06/14 NO MEMBER LIST | |
CH01 | DIRECTOR'S CHANGE OF PARTICULARS / CHRISTOPHER THOMAS BREMNER PURVIS / 02/06/2014 | |
CH01 | DIRECTOR'S CHANGE OF PARTICULARS / DAVID PAUL HAGER / 02/06/2014 | |
RES09 | AUTHORITY- PURCHASE SHARES OTHER THAN FROM CAPITAL | |
RES10 | AUTHORISED ALLOTMENT OF SHARES AND DEBENTURES | |
AA | FULL ACCOUNTS MADE UP TO 31/12/13 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/04/14 TREASURY CAPITAL GBP 147750 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 31/03/14 TREASURY CAPITAL GBP 145250 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 28/03/14 TREASURY CAPITAL GBP 139250 | |
MISC | SECTION 519 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 04/03/14 TREASURY CAPITAL GBP 137250 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 28/02/14 TREASURY CAPITAL GBP 132250 | |
DVCA | London Stock Exchange corporate action. Cash Dividend of GBP0.10 for COAF: UK600068212Y2014 ASIN: GB0005596985 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 24/12/13 TREASURY CAPITAL GBP 122250 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/09/13 TREASURY CAPITAL GBP 117250 | |
AA | INTERIM ACCOUNTS MADE UP TO 30/06/13 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 19/07/13 TREASURY CAPITAL GBP 109750 | |
DVCA | London Stock Exchange corporate action. Cash Dividend of GBP0.10 for COAF: UK600062417Y2013 ASIN: GB0005596985 | |
AR01 | 01/06/13 NO MEMBER LIST | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 07/05/13 TREASURY CAPITAL GBP 82250 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 03/05/13 TREASURY CAPITAL GBP 89750 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 08/05/13 TREASURY CAPITAL GBP 75250 | |
AA | FULL ACCOUNTS MADE UP TO 31/12/12 | |
RES09 | AUTHORITY- PURCHASE SHARES OTHER THAN FROM CAPITAL | |
RES10 | AUTHORISED ALLOTMENT OF SHARES AND DEBENTURES | |
TM01 | APPOINTMENT TERMINATED, DIRECTOR THOMAS ROSS | |
CONNOT | NOTICE OF CHANGE OF NAME NM04 - MEANS IN ARTICLES | |
CERTNM | COMPANY NAME CHANGED EDINBURGH UK TRACKER TRUST PLC CERTIFICATE ISSUED ON 24/04/13 | |
CHAN | London Stock Exchange corporate action. Change of GBP0.10 for COAF: UK600058071Y2013 ASIN: GB0005596985 | |
DVCA | London Stock Exchange corporate action. Cash Dividend of GBP0.10 for COAF: UK600058070Y2013 ASIN: GB0005596985 | |
CHAN | London Stock Exchange corporate action. Change of GBP0.10 for COAF: UK600058071Y2013 ASIN: GB0005596985 | |
AD02 | SAIL ADDRESS CHANGED FROM: EQUINITI LIMITED HOLM OAK BUSINESS PARK MARTLETS WAY GORING BY SEA WORTHING WEST SUSSEX BN12 4QY | |
AR01 | 01/06/12 NO MEMBER LIST | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 19/04/12 TREASURY CAPITAL GBP 65250 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 17/04/12 TREASURY CAPITAL GBP 61250 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 18/04/12 TREASURY CAPITAL GBP 53250 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 13/04/12 TREASURY CAPITAL GBP 52000 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 11/04/12 TREASURY CAPITAL GBP 42000 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 12/04/12 TREASURY CAPITAL GBP 32500 | |
RES11 | DISAPPLICATION OF PRE-EMPTION RIGHTS | |
RES09 | AUTHORITY- PURCHASE SHARES OTHER THAN FROM CAPITAL | |
AA | FULL ACCOUNTS MADE UP TO 31/12/11 | |
RES09 | AUTHORITY- PURCHASE SHARES OTHER THAN FROM CAPITAL | |
RES10 | AUTHORISED ALLOTMENT OF SHARES AND DEBENTURES | |
AP01 | DIRECTOR APPOINTED WENDY MADELEINE MAYALL | |
AP01 | DIRECTOR APPOINTED PAUL TENNANT YATES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 21/12/11 TREASURY CAPITAL GBP 20500 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 28/12/11 TREASURY CAPITAL GBP 22500 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 29/12/11 TREASURY CAPITAL GBP 23500 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 14/12/11 TREASURY CAPITAL GBP 7700 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/12/11 TREASURY CAPITAL GBP 10800 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 19/12/11 TREASURY CAPITAL GBP 18000 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES 15/11/11 TREASURY CAPITAL GBP 5200 | |
SH06 | 16/11/11 STATEMENT OF CAPITAL GBP 10305611.50 | |
SH06 | 16/11/11 STATEMENT OF CAPITAL GBP 10340611.5 | |
SH06 | 16/11/11 STATEMENT OF CAPITAL GBP 10340611.50 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH06 | 23/08/11 STATEMENT OF CAPITAL GBP 10361411.50 | |
SH06 | 23/08/11 STATEMENT OF CAPITAL GBP 10351411.50 | |
SH06 | 23/08/11 STATEMENT OF CAPITAL GBP 10345611.50 | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
SH03 | RETURN OF PURCHASE OF OWN SHARES | |
AA | INTERIM ACCOUNTS MADE UP TO 30/06/11 |
Appointmen | 2017-04-12 |
Resolution | 2017-04-12 |
Notice of | 2017-04-12 |
Total # Mortgages/Charges | 0 |
---|---|
Mortgages/Charges outstanding | 0 |
Mortgages Partially Satisifed | 0 |
Mortgages Satisfied/Paid | 0 |
Average | Max | |
MortgagesNumMortCharges | 0.89 | 9 |
MortgagesNumMortOutstanding | 0.47 | 7 |
MortgagesNumMortPartSatisfied | 0.01 | 1 |
MortgagesNumMortSatisfied | 0.42 | 8 |
This shows the max and average number of mortgages for companies with the same SIC code of 64301 - Activities of investment trusts
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These are the financial reports (either an abhreviated set of accounts or profit& loss statement and balance sheet) have been filed with Companies House. The reports allow you to do a basic business credit check on ABERDEEN UK TRACKER TRUST PLC
The top companies supplying to UK government with the same SIC code (64301 - Activities of investment trusts) as ABERDEEN UK TRACKER TRUST PLC are:
Initiating party | Event Type | Appointment of Liquidators | |
---|---|---|---|
Defending party | ABERDEEN UK TRACKER TRUST PLC | Event Date | 2017-04-06 |
Derek Neil Hyslop and Patrick Joseph Brazzill of Ernst & Young LLP , Ten George Street, Edinburgh EH2 2DZ : Further information about this case is available from Gregoire Rey at the offices of Ernst & Young LLP on 0131 777 2341. | |||
Initiating party | Event Type | Resolutions for Winding-up | |
Defending party | ABERDEEN UK TRACKER TRUST PLC | Event Date | 2017-04-06 |
On 6 April 2017 the following resolution was passed by the shareholders of the company as a special resolution: "the Company be and is hereby wound up voluntarily under the provisions of the Insolvency Act 1986 and that Derek Neil Hyslop and Patrick Joseph Brazzill, both licensed insolvency practitioners of Ernst & Young LLP, be and they are hereby appointed joint liquidators (the "Liquidators") for the purposes of such winding-up and distributing the assets of the Company in accordance with the Scheme and any power conferred on them by law, the Articles of Association or by this resolution may be exercised by them jointly or by each of them alone" Office Holder Details: Derek Neil Hyslop and Patrick Joseph Brazzill (IP numbers 9970 and 8569 ) of Ernst & Young LLP , Ten George Street, Edinburgh EH2 2DZ . Date of Appointment: 6 April 2017 . Further information about this case is available from Gregoire Rey at the offices of Ernst & Young LLP on 0131 777 2341. Paul Yates , Director : | |||
Initiating party | Event Type | Notice of Intended Dividends | |
Defending party | ABERDEEN UK TRACKER TRUST PLC | Event Date | 2017-04-06 |
Notice of Intended Distribution to Creditors As Joint Liquidators of the company, we hereby give notice that we intend to make a final distribution to its creditors. The last date for proving is 31 May 2017 and creditors of the company should by that date send their full names and addresses and particulars of their debts or claims to me, D N Hyslop of Ernst & Young LLP, Ten George Street, Edinburgh, EH2 2DZ. In accordance with Rule 4.182A(5) of the Insolvency Rules 1986, we may thereafter make the proposed distribution without regard to the claim of any person in respect of a debt not yet proved. Office Holder Details: Derek Neil Hyslop and Patrick Joseph Brazzill (IP numbers 9970 and 8569 ) of Ernst & Young LLP , Ten George Street, Edinburgh EH2 2DZ . Date of Appointment: 6 April 2017 . Further information about this case is available from Gregoire Rey at the offices of Ernst & Young LLP on 0131 777 2341. Derek Neil Hyslop , Joint Liquidator Dated: 11 April 2017 | |||
London Stock Exchange Listing | Main Market |
Ticker Name | AUKT |
Listed Since | 06-Aug-90 |
Market Sector | Equity Investment Instruments |
Market Sub Sector | Equity Investment Instruments |
Market Capitalisation | £320.477M |
Shares Issues | 101,738,615.00 |
Share Type | GBP0.10 |
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