
SCHRODER UK MID CAP FD PLC
Investment trust targeting total return from a diversified portfolio of UK mid-cap equities.
SCP | IL
Overview
Corporate Details
- ISIN(s):
- GB0006108418
- LEI:
- 549300SOEWCYZTK2SP87
- Country:
- United Kingdom
- Address:
- C/O Shepherd & Wedderburn Llp, EH3 8FY Edinburgh
- Website:
- https://www.schroders.com/
- Sector:
- Financial and insurance activities
- Industry:
- Activities of trusts, funds and similar financial entities
Description
Schroder UK Mid Cap Fund plc is a UK-based investment trust managed by Schroder Investment Management Limited. The company's investment objective is to provide a total return, comprising both capital growth and an attractive yield, in excess of the FTSE 250 ex Investment Companies Index. To achieve this, the fund primarily invests in a diversified portfolio of mid-capitalisation equities listed in the United Kingdom, predominantly constituents of the FTSE 250 Index. The strategy allows for a portion of the portfolio to be held in other equities or collective investment schemes, offering investors focused exposure to the UK's mid-cap market segment.
Unlock This Filing & Millions More
You're one step away from the data you need. Create a free account to instantly view this filing and get access to powerful research tools.
Filings
Date | Filing | Language | Size | Actions | |
---|---|---|---|---|---|
2025-10-08 18:05 |
Transaction in Own Shares
Transaction in Own Shares
|
English | 3.2 KB | ||
2025-10-07 12:34 |
Regulatory News Service
Net Asset Value(s)
|
English | 12.8 KB | ||
2025-10-06 12:54 |
Net Asset Value
Net Asset Value(s)
|
English | 12.8 KB | ||
2025-10-03 17:25 |
Net Asset Value
Net Asset Value(s) - Replacement
|
English | 8.0 KB | ||
2025-10-03 12:09 |
Net Asset Value
Net Asset Value(s)
|
English | 7.7 KB | ||
2025-10-02 11:40 |
Net Asset Value
Net Asset Value(s)
|
English | 7.7 KB | ||
2025-10-01 16:32 |
Declaration of Voting Results & Voting Rights Announcements
Total Voting Rights
|
English | 5.1 KB | ||
2025-10-01 11:40 |
Net Asset Value
Net Asset Value(s)
|
English | 7.7 KB | ||
2025-09-30 11:57 |
Net Asset Value
Net Asset Value(s)
|
English | 7.7 KB | ||
2025-09-26 11:35 |
Net Asset Value
Net Asset Value(s)
|
English | 7.7 KB | ||
2025-09-25 17:02 |
Director's Dealing
Director/PDMR Shareholding
|
English | 15.5 KB | ||
2025-09-24 11:37 |
Net Asset Value
Net Asset Value(s)
|
English | 7.7 KB | ||
2025-09-22 11:26 |
Net Asset Value
Net Asset Value(s)
|
English | 7.3 KB | ||
2025-09-19 11:59 |
Net Asset Value
Net Asset Value(s)
|
English | 7.2 KB | ||
2025-09-18 18:02 |
Transaction in Own Shares
Transaction in Own Shares
|
English | 3.4 KB |
Automate Your Workflow. Get a real-time feed of all SCHRODER UK MID CAP FD PLC filings delivered via API.
Market Data
Market Data Not Available
Financials & KPIs
No Financial Data Available
Standardized financial statements for the selected period are not yet available.
Need More History? Access decades of standardized financials for SCHRODER UK MID CAP FD PLC via our API.
Insider Transactions
Date | Insider Name | Position | Type | Shares | Value |
---|---|---|---|---|---|
No insider transactions recorded for this company. |