Trade LIONTRUST ASSET MANAGEMENT PLC - LIO CFD

Trading Conditions
Spread0.184
Long position overnight fee
Long position overnight fee

Margin. Your investment
£1,000.00
Overnight fee
Charges from full value of position
-0.02529 %
(-£1.01)

Trade size with leverage ~ £5,000.00

Short position overnight fee ~ £4,000.00


-0.02529%
Short position overnight fee
Short position overnight fee

Margin. Your investment
£1,000.00
Overnight fee
Charges from full value of position
0.003373 %
(£0.14)

Trade size with leverage ~ £5,000.00

Short position overnight fee ~ £4,000.00


0.003373%
Overnight fee time21:00 (UTC)
CurrencyGBP
Min traded quantity1
Margin20
Stock exchangeUnited Kingdom of Great Britain and Northern Ireland
Commission on trade10%

Information_provided_by_capital
1Our charge for executing your trade is the spread, the difference between the buy and sell price. Please consult the Charges and Fees section of our website for further information

Key Stats
Prev. Close6.478
Open6.448
1-Year Change-22.36%
Day's Range6.438 - 6.698

Liontrust Asset Management Plc Company profile

About Liontrust Asset Management PLC

Liontrust Asset Management Plc is a United Kingdom-based holding company. The Company is engaged in specialist fund management business. The Company primarily invests in global equities, global fixed income, sustainable investment and multi-asset portfolios and funds. It offers a range of target risk portfolios, risk-profiled funds, income generating multi-manager funds and specialist multi-manager funds to meet client's risk and return objectives. The Company, through its subsidiary, Liontrust Fund Partners LLP, is engaged in managing unit trusts. Through Liontrust Investment Partners LLP, the Company offers investment management services to professional investors directly, through investment consultants and through other professional advisers. Through Liontrust International (Luxembourg) S.A., the Company is engaged in distribution business. Through Liontrust Multi-Asset Limited, it is engaged in managing investment companies with variable capitals (ICVCs).

Financial summary

BRIEF: For the six months ended 30 September 2021,Liontrust Asset Management PLC revenues increased 66% to£114.9M. Net income increased from £5.3M to £26.2M.Revenues reflect an increase in demand for the Company'sproducts and services due to favorable market conditions.Net income benefited from Restructuring Charges/Provisionsdecrease of 68% to £3.3M (expense), Severance compensationdecrease of 98% to £4K (expense).

Equity composition

FY'05 IS non-detailed periods are not deleted(when IFRSupdated from 9/30/2005 Interim) since the update in BS andCF is detailed for the same period.