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CQS New City High Yield Fund issues 3.5 million shares at 50.5 pence
CQS New City High Yield Fund issues 3,500,000 no-par value ordinary shares at a price of 50.5 pence per share. The issue is made via the blocklisting facility and will take effect on Tuesday against cash consideration. After the issuance the issued share capital increases to 723,251,858 ordinary shares; BNP Paribas (Jersey) acts as secretary and administrator, Singer Capital Markets as broker. » Mais em de.investing.com
CQS New City High Yield Fund issues 1.5m shares at 50.5p
The CQS New City High Yield Fund issues 1,500,000 no‑par value ordinary shares from its blocklisting facility at a price of 50.5 pence per share. The cash capital increase will take place on 8 September 2026 and increases the issued share capital to 719,751,858 ordinary shares, which is also the total number of voting rights. Manulife |CQS Investment Management is investment manager, BNP Paribas S.A. Jersey branch acts as secretary and administrator, and Singer Capital Markets LLP is broker. » Mais em de.investing.com
CQS New City High Rendite Fund issues 1,250,000 shares at 50.5 pence
The CQS New City High Rendite Fund has issued 1,250,000 no-par-value ordinary shares through its blocklisting facility at 50.5 pence each; the allotment takes place on Thursday for cash consideration. After the issue the issued share capital comprises 718,251,858 ordinary shares, which equals the total number of voting rights as no own shares are held. Investors may use this figure as the denominator for notification thresholds under the FCA’s Disclosure Guidance and Transparency Rules. Manulife CQS Investment Management acts as investment manager, BNP Paribas S.A. (Jersey branch) as secretary and administrator, and Singer Kapitalmärkte as broker. » Mais em de.investing.com
Dividendos históricos Dividendos
Todos os indicadores de dividendos Todos os indicadoresDados financeiros da empresa
| (EUR) | dezembro de 2025 | |
|---|---|---|
| Receitas | 20,72 mi | - |
| Ganho bruto | 19,22 mi | - |
| Ganho líquido | 15,27 mi | - |
| EBITDA | 16,57 mi | - |
Dados fundamentais
| Métrica | Valor |
|---|---|
Capitalização bolsista | € 406,54 mi |
Número de ações | 690,45 mi |
Máximo/mínimo de 52 semanas | € 0,62 - € 0,55 |
Rentabilidade de dividendos | 8,84% |
Dividendos TTM | € 0,0521 |
Beta | 0,08 |
PER (PE Ratio) | 14,48 |
PEG (PEG Ratio) | -0,38 |
P/VC (PB Ratio) | 1,01 |
P/V (PS Ratio) | 11,88 |
Perfil da empresa
CQS New City High Yield Fund Limited ist ein geschlossener, festverzinslicher Investmentfonds, der von CQS Asset Management Ltd. aufgelegt wurde. Der Fonds wird von CQS (UK) LLP verwaltet. Er investiert in die Märkte für festverzinsliche Wertpapiere. Der Fonds investiert in erster Linie in festverzinsliche Wertpapiere wie Unternehmens- und Staatsanleihen, Kreditaktien und hochverzinsliche Anleihen. Bei der Zusammenstellung seines Portfolios verfolgt er einen Value-Ansatz. Der Fonds war früher unter dem Namen New City High Yield Fund Limited bekannt. CQS New City High Yield Fund Limited wurde im Oktober 2004 gegründet und hat seinen Sitz auf den Kanalinseln.
| Nome | CQS NEW CITY HIGH YLD FD |
| Sede | London,
je Jersey |
| Site | |
| Entrada em bolsa | 09/12/2004 |
Símbolos de ticker
| Bolsa | Símbolo |
|---|---|
London Stock Exchange | NCYF.L |
London | NCYF.L |