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Temple Bar Investment Trust PLC — Investor Relations & Filings

Ticker · TMPL ISIN · GB00BMV92D64 LEI · 213800O8EAP4SG5JD323 IL Financial and insurance activities
Filings indexed 3,093 across all filing types
Latest filing 2026-01-05 Transaction in Own Shar…
Country GB United Kingdom
Listing IL TMPL

About Temple Bar Investment Trust PLC

https://www.templebarinvestments.co.uk/

Temple Bar Investment Trust PLC is an investment trust with the objective of providing long-term growth in both income and capital for its shareholders. The trust employs a distinct value-based investment philosophy, utilizing a long-term approach and deep fundamental analysis. This strategy focuses on identifying and investing in companies believed to be trading at a significant discount to their intrinsic value, with the dual aims of preserving capital and delivering growth. The trust maintains a diversified portfolio of investments, primarily in equities across a range of sectors, to achieve an above-average level of income and long-term total returns.

Recent filings

Filing Released Lang Actions
Temple Bar Investment Trust Plc - Sale of Shares from Treasury
Transaction in Own Shares Classification · 100% confidence The document is an official announcement regarding the sale of shares from the company's treasury. It details the number of shares sold, the price per share, and the resulting impact on the company's total shares in issue and total voting rights. This specific type of transaction, where a company sells its own treasury shares, is classified as a 'Transaction in Own Shares' (POS).
2026-01-05 English
Temple Bar Investment Trust Plc - Net Asset Value(s)
Net Asset Value Classification · 100% confidence The document is a short, standardized announcement from Temple Bar Investment Trust Plc providing the Net Asset Value (NAV) per share as of a specific date. It explicitly identifies itself as a 'NET ASSET VALUE' announcement. Given its nature as a periodic update of fund valuation, it fits the definition of the NAV category.
2026-01-05 English
Temple Bar Investment Trust Plc - Sale of Shares from Treasury
Transaction in Own Shares Classification · 100% confidence The document is an official announcement from Temple Bar Investment Trust PLC regarding the sale of shares from its treasury. It details the number of shares sold, the price per share, and the resulting changes to the company's total shares in issue and total voting rights. This type of transaction, where a company sells its own treasury shares, is classified as a 'Transaction in Own Shares'.
2026-01-02 English
Temple Bar Investment Trust Plc - Net Asset Value(s)
Net Asset Value Classification · 100% confidence The document is a short, formal announcement from Temple Bar Investment Trust Plc providing the Net Asset Value (NAV) per ordinary share as of a specific date (31 December 2025). It explicitly identifies itself as a 'NET ASSET VALUE' announcement and provides the specific financial metrics associated with NAV reporting for investment trusts.
2026-01-02 English
Temple Bar Investment Trust Plc - Total Voting Rights
Declaration of Voting Results & Voting Rights Announcements Classification · 95% confidence The document is a standard regulatory notification regarding the total number of voting rights and capital structure of Temple Bar Investment Trust Plc. It explicitly references the Financial Conduct Authority's Disclosure Guidance and Transparency Rules, which require companies to disclose their total voting rights to allow shareholders to calculate their notification thresholds. This type of filing is a routine regulatory disclosure regarding share capital and voting rights, which falls under the RNS (Regulatory Filings) category as it does not involve a specific share issuance, buyback, or director dealing, but rather a periodic transparency update.
2026-01-02 English
Temple Bar Investment Trust Plc - Net Asset Value(s)
Net Asset Value Classification · 100% confidence The document is a short, formal announcement from Temple Bar Investment Trust Plc providing the Net Asset Value (NAV) per share as of a specific date. It explicitly identifies itself as a 'NET ASSET VALUE' announcement and provides the specific financial figures for both cum-income and ex-income values. This fits the definition of a NAV update perfectly.
2025-12-31 English

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