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/Equities/XLON/GCL
OverviewShare PriceRNSTradesShort InterestDirectorsHoldingsBuybacksParliamentTrust Data
Geiger Counter Limited logo
Geiger Counter Limited
/Equities/XLON/GCL
OverviewShare PriceRNSTradesShort InterestDirectorsHoldingsBuybacksParliamentTrust Data
Geiger Counter Limited logo

Geiger Counter Limited

Loading price data...
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Price Chart

Open
73.50
High
74.90
Low
72.10
Close
72.19
Change
-1.40 (-1.93%)
Volume
185,980

Recent RNS announcements

1 May 202615:14:20Net Asset Value(s)
30 Apr 202616:08:26Net Asset Value(s)
29 Apr 202615:00:49Net Asset Value(s)
28 Apr 202614:52:27Net Asset Value(s)
28 Apr 202610:10:20Update research from QuotedData

Directors (5)

RC
Rob Crayfourdco-Fund Manager
–
I"
Ian "Franco" FrancisCIO and Senior Fund Manager
–
KW
Keith Watsonco-Fund Manager
–
Craig Cleland
Craig Cleland
–
Robert Crayfourd
Robert Crayfourd
–

In the Press

27 Mar 2026Morning briefing: Actions US expansion plans spook 3i investors; Manulife managers to work with Geiger Counter duo; Achilles to consult shareholders after Spire Health gambitQuotedData
25 Mar 2026Star CQS mining fund managers jump ship to TuftonQuotedData
23 Mar 2026CQS Natural Resources serves Manulife CQS six months notice after fund manager resignationsQuotedData
17 Mar 2026Morning briefing: Geiger Counter serves notice on Manulife; Government delays Tritax data centre decision; plus BPCR, OCI, PCTN, ASLIQuotedData
9 Mar 2026CQS Natural Resources managers resignSharesify

Company details

NCIM is a highly regarded fund manager with expertise in natural resources and high yield investments. The investment team boasts extensive experience and a track record of delivering excellent results for their clients, having worked closely together for many years.

Industry
Financials
Sector
Financial Services
LEI
549300O6PWGLLYV1QX57
Region
Europe
Admission date
10 Jul 2006
Website
ncim.co.uk

Investment Trust · as at 30 Mar 2026

NAV per Share
81.95p
Discount/Premium
-10.9%

NAV History

Mar 2022–Jun 2025 · Daily

Shares details

Shares in issue
152,674,249
Total Voting Rights
115,542,793
Treasury Shares
37,131,456
Last updated: 1 May 2026

Parliament Interests

Lord Hintze

Lord Hintze has interests in this issuer

Recent Buybacks

27/06/2025
500,000£225,450

Instrument details

ISIN
GB00B15FW330
Exchange
XLON
Market
Main Market
Market Segment
SSQ3
Market Sector
SQQ3
Security Description
Ordinary Shares of No Par Value; fully paid
Listing Category
Closed-ended investment funds
Loading price data...
--
--

Price Chart

Open
73.50
High
74.90
Low
72.10
Close
72.19
Change
-1.40 (-1.93%)
Volume
185,980

Recent RNS announcements

1 May 202615:14:20Net Asset Value(s)
30 Apr 202616:08:26Net Asset Value(s)
29 Apr 202615:00:49Net Asset Value(s)
28 Apr 202614:52:27Net Asset Value(s)
28 Apr 202610:10:20Update research from QuotedData

Directors (5)

RC
Rob Crayfourdco-Fund Manager
–
I"
Ian "Franco" FrancisCIO and Senior Fund Manager
–
KW
Keith Watsonco-Fund Manager
–
Craig Cleland
Craig Cleland
–
Robert Crayfourd
Robert Crayfourd
–

In the Press

27 Mar 2026Morning briefing: Actions US expansion plans spook 3i investors; Manulife managers to work with Geiger Counter duo; Achilles to consult shareholders after Spire Health gambitQuotedData
25 Mar 2026Star CQS mining fund managers jump ship to TuftonQuotedData
23 Mar 2026CQS Natural Resources serves Manulife CQS six months notice after fund manager resignationsQuotedData
17 Mar 2026Morning briefing: Geiger Counter serves notice on Manulife; Government delays Tritax data centre decision; plus BPCR, OCI, PCTN, ASLIQuotedData
9 Mar 2026CQS Natural Resources managers resignSharesify

Company details

NCIM is a highly regarded fund manager with expertise in natural resources and high yield investments. The investment team boasts extensive experience and a track record of delivering excellent results for their clients, having worked closely together for many years.

Industry
Financials
Sector
Financial Services
LEI
549300O6PWGLLYV1QX57
Region
Europe
Admission date
10 Jul 2006
Website
ncim.co.uk

Investment Trust · as at 30 Mar 2026

NAV per Share
81.95p
Discount/Premium
-10.9%

NAV History

Mar 2022–Jun 2025 · Daily

Shares details

Shares in issue
152,674,249
Total Voting Rights
115,542,793
Treasury Shares
37,131,456
Last updated: 1 May 2026

Parliament Interests

Lord Hintze

Lord Hintze has interests in this issuer

Recent Buybacks

27/06/2025
500,000£225,450

Instrument details

ISIN
GB00B15FW330
Exchange
XLON
Market
Main Market
Market Segment
SSQ3
Market Sector
SQQ3
Security Description
Ordinary Shares of No Par Value; fully paid
Listing Category
Closed-ended investment funds
Share Price72.19p
Day Change-1.40p(-1.93%)
Market Cap£110.2m
1 May 15:17
Market closed
Share Price72.19p
Day Change-1.40p(-1.93%)
Market Cap£110.2m
1 May 15:17
Market closed