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Last 25.50 GBp
Change Today 0.00 / 0.00%
Volume 0.0
PHU On Other Exchanges
As of 2:46 AM 08/28/15 All times are local (Market data is delayed by at least 15 minutes).

m&l property & assets plc (PHU) Snapshot

25.50 GBp
Previous Close
25.50 GBp
Day High
25.50 GBp
Day Low
25.50 GBp
52 Week High
10/29/14 - 29.00 GBp
52 Week Low
07/2/15 - 25.50 GBp
Market Cap
Average Volume 10 Days
-0.0008 GBp
Shares Outstanding
Dividend Yield
Current Stock Chart for M&L PROPERTY & ASSETS PLC (PHU)

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m&l property & assets plc (PHU) Details

M&L Property & Assets Plc, together with its subsidiaries, primarily engages in acquiring, developing, selling, and letting residential properties in Budapest, Hungary. The company was formerly known as Pactolus Hungarian Property Plc and changed its name to M&L Property & Assets Plc in July 2015. M&L Property & Assets Plc was founded in 2005 and is based in Douglas, the United Kingdom.

Founded in 2005

m&l property & assets plc (PHU) Top Compensated Officers

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m&l property & assets plc (PHU) Key Developments

Pactolus Hungarian Property Plc will Change its Name to M&L Property & Assets plc

Effective July 03, 2015, Pactolus Hungarian Property Plc will change its name to M&L Property & Assets plc.

Pactolus Hungarian Property Plc Reports Audited Consolidated Earnings Results and Parent Company Cash Flow Results for the Full Year Ended December 31, 2014

Pactolus Hungarian Property Plc reported audited consolidated earnings results and parent company cash flow results for the full year ended December 31, 2014. For the year, on consolidated basis, rental income and related fees was EUR 493,473 against EUR 564,195 a year ago. Operating profit was EUR 80,243 against EUR 20,862 a year ago. Loss for the year from continuing operations was EUR 7,915 against EUR 78,699 a year ago. Loss before taxation was EUR 7,915 against EUR 111,216 was EUR a year ago. Net loss attributable to equity shareholders was EUR 8,717 or 0.1 cent per diluted share against 111,957 or 1.1 cent per diluted share a year ago. Net cash generated from operating activities was EUR 94,375 against net cash used in from operating activities of EUR 64,215 a year ago. Net debt was EUR 2,308,182. For the year, on parent company basis, net cash used in from operating activities was EUR 40,079 against EUR 145,116 a year ago.

Pactolus Hungarian Property Plc, Annual General Meeting, Jun 25, 2015

Pactolus Hungarian Property Plc, Annual General Meeting, Jun 25, 2015., at 10:00 GMT Standard Time. Location: Equiom (Isle of Man) Limited.


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