Telecom plus PLC (TEP.L)

Q3 2020 All 13F Filers Prior Change Hedge Funds 1 Prior Change
No data found for this quarter.
1 hedge funds and active managers as identified by whalewisdom.com through public filings.

Funds Holding TEP.L (via 13F filings)

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*Shares are split adjusted
*Please note that if a filer hasn't submitted a 13F filing for a quarter then the filer's shares will be listed as "Sold All"

Mutual Funds Holding TEP.L BETA

Active Schedule 13D and 13G filings

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Open Market Buys/Sells Last 60 Days

Open Market Buys (P)

none

Open Market Sells (S)

none

Exercise Derivative Conversion (M)

none

Current/Former Insiders

Insider Name Type Last Reported Shares Held Last Reported Date Filings in past year

Insider Transactions Last 60 Days

Reporting Owners Filing Date Trans Date Trans Code Shares Share Price Acquired
Disposed
Shares Owned after D/I 10b5 Perf 1d* Perf 5d* Perf 1m* Max Gain Max Gain Days Max Loss Max Loss Days
No current insider transactions

* -

Transaction Code Definitions
Code Definition
A Grant, award or other acquisition pursuant to Rule 16b-3(d)
C Conversion of derivative security
D Disposition to the issuer of issuer equity securities pursuant to Rule 16b-3(e)
E Expiration of short derivative position
F Payment of exercise price or tax liability by delivering or withholding securities incident to the receipt, exercise or vesting of a security issued in accordance with Rule 16b-3
G Bona fide gift
H Expiration (or cancellation) of long derivative position with value received
I Discretionary transaction in accordance with Rule 16b-3(f) resulting in acquisition or disposition of issuer securities
J Other acquisition or disposition
L Small acquisition under Rule 16a-6
M Exercise or conversion of derivative security exempted pursuant to Rule 16b-3
O Exercise of out-of-the-money derivative security
P Open market or private purchase of non-derivative or derivative security
S Open market or private sale of non-derivative or derivative security
U Disposition pursuant to a tender of shares in a change of control transaction
W Acquisition or disposition by will or the laws of descent and distribution
X Exercise of in-the-money or at-the-money derivative security
Z Deposit into or withdrawal from voting trust

**EXPERIMENTAL** Current Active Short Positions

Get more info on our International short position coverage here

Holder Issuer Net Short Position Position Date Origin
GLG Partners LP TELECOM PLUS PLC (LN*) 1.11% 2021-01-14 UK

Short Position History

Holder Net Short Position Position Date Origin
BennBridge Ltd TELECOM PLUS PLC (LN*) 0.5% 2019-10-23 UK
BlackRock Institutional Trust Company, National Association TELECOM PLUS PLC (LN*) 0.49% 2015-04-07 UK
BlackRock Institutional Trust Company, National Association TELECOM PLUS PLC (LN*) 0.5% 2015-02-18 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.58% 2017-10-11 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.7% 2015-12-18 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.59% 2016-10-20 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.6% 2017-02-23 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.89% 2016-04-29 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.59% 2017-03-28 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.5% 2017-11-27 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.69% 2016-09-12 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.99% 2016-02-18 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.78% 2016-06-13 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.6% 2017-06-19 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.82% 2016-01-12 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.8% 2016-06-15 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.5% 2015-12-03 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.9% 2016-03-23 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 1.0% 2016-02-12 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.78% 2016-06-22 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.9% 2016-03-14 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.88% 2016-03-11 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.89% 2016-03-22 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.61% 2015-12-08 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.79% 2016-07-12 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.81% 2016-07-07 UK
BlackRock Investment Management (UK) Limited TELECOM PLUS PLC (LN*) 0.9% 2016-01-18 UK
CZ Capital LLP TELECOM PLUS PLC (LN*) 0.51% 2019-06-06 UK
CZ Capital LLP TELECOM PLUS PLC (LN*) 0.61% 2019-07-23 UK
CZ Capital LLP TELECOM PLUS PLC (LN*) 0.7% 2020-03-04 UK
CZ Capital LLP TELECOM PLUS PLC (LN*) 0.6% 2019-09-25 UK
CZ Capital LLP TELECOM PLUS PLC (LN*) 0.57% 2020-03-09 UK
CZ Capital LLP TELECOM PLUS PLC (LN*) 0.71% 2019-12-02 UK
CZ Capital LLP TELECOM PLUS PLC (LN*) 0.59% 2019-08-28 UK
Dalton Strategic Partnership LLP TELECOM PLUS PLC (LN*) 0.49% 2013-05-31 UK
Dalton Strategic Partnership LLP TELECOM PLUS PLC (LN*) 0.59% 2013-05-29 UK
Dalton Strategic Partnership LLP TELECOM PLUS PLC (LN*) 0.78% 2013-05-24 UK
Dalton Strategic Partnership LLP TELECOM PLUS PLC (LN*) 0.87% 2013-04-30 UK
Dalton Strategic Partnership LLP TELECOM PLUS PLC (LN*) 0.95% 2013-04-19 UK
Dalton Strategic Partnership LLP TELECOM PLUS PLC (LN*) 1.08% 2013-04-12 UK
Dalton Strategic Partnership LLP TELECOM PLUS PLC (LN*) 1.15% 2012-11-19 UK
Dalton Strategic Partnership LLP TELECOM PLUS PLC (LN*) 1.03% 2012-11-01 UK
Ennismore Fund Management Limited TELECOM PLUS PLC (LN*) 0.5% 2015-07-24 UK
Ennismore Fund Management Limited TELECOM PLUS PLC (LN*) 0.49% 2016-09-28 UK
Ennismore Fund Management LTD TELECOM PLUS PLC (LN*) 0.5% 2015-07-24 UK
Ennismore Fund Management LTD TELECOM PLUS PLC (LN*) 0.5% 2015-07-24 UK
Ennismore Fund Management LTD TELECOM PLUS PLC (LN*) 0.5% 2015-07-24 UK
Ennismore Fund Management LTD TELECOM PLUS PLC (LN*) 0.5% 2015-07-24 UK
Ennismore Fund Management LTD TELECOM PLUS PLC (LN*) 0.5% 2015-07-24 UK
Ennismore Fund Management LTD TELECOM PLUS PLC (LN*) 0.5% 2015-07-24 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 1.01% 2015-05-29 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 1.51% 2016-01-08 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 1.2% 2015-10-28 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 2.18% 2016-01-13 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 1.66% 2016-04-22 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 1.14% 2015-10-19 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 0.62% 2016-04-25 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 0.58% 2016-04-26 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 2.03% 2016-01-12 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 2.2% 2016-01-14 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 0.42% 2016-05-04 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 1.44% 2016-01-07 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 0.99% 2015-05-28 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 0.71% 2015-02-03 UK
FIL Investment Services (UK) Limited TELECOM PLUS PLC (LN*) 1.32% 2015-10-30 UK
FIL Investment Services (UK) LTD TELECOM PLUS PLC (LN*) 1.01% 2015-05-29 UK
FIL Investment Services (UK) LTD TELECOM PLUS PLC (LN*) 1.01% 2015-05-29 UK
FIL Investment Services (UK) LTD TELECOM PLUS PLC (LN*) 1.01% 2015-05-29 UK
FIL Investment Services (UK) LTD TELECOM PLUS PLC (LN*) 1.01% 2015-05-29 UK
FIL Investment Services (UK) LTD TELECOM PLUS PLC (LN*) 1.01% 2015-05-29 UK
FIL Investment Services (UK) LTD TELECOM PLUS PLC (LN*) 1.01% 2015-05-29 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.5% 2020-02-13 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.91% 2018-10-23 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.83% 2018-04-19 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.97% 2020-11-17 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.9% 2018-06-01 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.73% 2018-03-28 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.79% 2019-09-27 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.87% 2018-08-01 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 1.05% 2019-01-28 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.9% 2018-09-13 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.84% 2019-09-16 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.68% 2019-10-18 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.72% 2020-08-18 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.98% 2019-08-27 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.53% 2020-07-06 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 1.03% 2020-12-29 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.89% 2018-10-10 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.51% 2019-11-15 UK
GLG Partners LP TELECOM PLUS PLC (LN*) 0.6% 2018-02-28 UK
JPMorgan Asset Management (UK) Ltd TELECOM PLUS PLC (LN*) 0.93% 2015-04-28 UK
JPMorgan Asset Management (UK) Ltd TELECOM PLUS PLC (LN*) 0.86% 2015-07-21 UK
JPMorgan Asset Management (UK) Ltd TELECOM PLUS PLC (LN*) 0.42% 2015-07-24 UK
JPMorgan Asset Management (UK) Ltd TELECOM PLUS PLC (LN*) 0.78% 2015-04-23 UK
JPMorgan Asset Management (UK) Ltd TELECOM PLUS PLC (LN*) 0.66% 2015-04-16 UK
JPMorgan Asset Management (UK) Ltd TELECOM PLUS PLC (LN*) 0.78% 2015-07-23 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.99% 2020-05-13 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.71% 2020-04-01 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.81% 2020-06-30 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 1.04% 2020-05-14 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.51% 2020-09-21 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.91% 2020-04-22 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.57% 2020-09-03 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.95% 2020-06-26 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.68% 2020-07-28 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.87% 2020-04-17 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.7% 2020-07-29 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.59% 2020-09-01 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.6% 2020-09-02 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 1.0% 2020-04-28 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.7% 2020-07-23 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.8% 2020-04-09 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 1.0% 2020-05-04 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.78% 2020-04-14 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.63% 2020-03-20 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.95% 2020-04-29 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.52% 2020-03-18 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 1.13% 2020-06-16 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.68% 2020-07-14 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.69% 2020-08-04 UK
Lombard Odier Asset Management (Europe) Limited TELECOM PLUS PLC (LN*) 0.79% 2020-06-29 UK
Marshall Wace LLP TELECOM PLUS PLC (LN*) 0.61% 2015-07-16 UK
Marshall Wace LLP TELECOM PLUS PLC (LN*) 0.59% 2015-08-10 UK
Marshall Wace LLP TELECOM PLUS PLC (LN*) 0.49% 2015-09-09 UK
Marshall Wace LLP TELECOM PLUS PLC (LN*) 0.51% 2015-07-09 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.81% 2015-06-22 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.49% 2015-10-07 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.79% 2015-06-03 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.8% 2015-05-29 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.72% 2015-04-21 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.6% 2015-04-10 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.5% 2015-04-07 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.5% 2015-04-01 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.49% 2015-03-30 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.5% 2015-03-26 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.49% 2015-03-24 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.5% 2015-03-17 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.79% 2015-07-28 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.59% 2015-09-17 UK
Numeric Investors LLC TELECOM PLUS PLC (LN*) 0.69% 2015-08-25 UK
Praxient Capital LLP TELECOM PLUS PLC (LN*) 0.51% 2012-11-01 UK
UBS O'Connor Limited TELECOM PLUS PLC (LN*) 0.5% 2016-01-29 UK
UBS O'Connor Limited TELECOM PLUS PLC (LN*) 0.46% 2016-02-11 UK
UBS O'Connor Limited TELECOM PLUS PLC (LN*) 0.49% 2016-01-27 UK
UBS O'Connor Limited TELECOM PLUS PLC (LN*) 0.5% 2016-01-18 UK

UK Ownership History

Updated daily

Contains transactions from January 1st, 2015 on. This data is

Form Holder Issuer Transaction Date Number of Voting Rights % of Voting Rights
TR-1 Schroders plc Telecom Plus PLC 2026-11-15 4,448,584 5.55%
TR-1 Aggregate of Standard Life Aberdeen plc affiliated investment management entities with delegated voting rights on behalf of multiple managed portfolios Telecom Plus PLC 2020-12-03 11,023,959 14.0%
TR-1 Aggregate of Standard Life Aberdeen plc affiliated investment management entities with delegated voting rights on behalf of multiple managed portfolios Telecom Plus PLC 2020-11-26 10,885,714 13.83%
TR-1 Aggregate of Standard Life Aberdeen plc affiliated investment management entities with delegated voting rights on behalf of multiple managed portfolios Telecom Plus PLC 2020-11-20 10,798,401 13.72%
TR-1 Aggregate of Standard Life Aberdeen plc affiliated investment management entities with delegated voting rights on behalf of multiple managed portfolios Telecom Plus PLC 2020-11-17 10,732,708 13.64%
TR-1 Aggregate of Standard Life Aberdeen plc affiliated investment management entities with delegated voting rights on behalf of multiple managed portfolios Telecom Plus PLC 2020-10-01 10,360,223 13.16%
TR-1 Aggregate of Standard Life Aberdeen plc affiliated investment management entities with delegated voting rights on behalf of multiple managed portfolios Telecom Plus PLC 2020-05-28 11,018,468 14.02%
TR-1 Aggregate of Standard Life Aberdeen plc affiliated investment management entities with delegated voting rights on behalf of multiple managed portfolios Telecom Plus PLC 2020-05-27 11,002,503 13.99%
TR-1 Aggregate of Standard Life Aberdeen plc affiliated investment management entities with delegated voting rights on behalf of multiple managed portfolios Telecom Plus PLC 2020-05-26 11,004,789 14.0%
TR-1 Norges Bank Telecom Plus PLC 2017-03-15 3,241,541 4.04%
TR-1 Norges Bank Telecom Plus PLC 2016-11-30 2,836,414 3.54%
TR-1 Standard Life Investments (Holdings) Limited (Parent Company) 9.816% Telecom Plus PLC 2016-11-17 7,884,974 9.816%
TR-1 Norges Bank Telecom Plus PLC 2016-11-04 3,041,341 3.8%
TR-1 Norges Bank Telecom Plus PLC 2016-11-03 3,055,359 3.82%
TR-1 Norges Bank Telecom Plus PLC 2016-10-19 3,187,070 3.97%
TR-1 Standard Life Investments (Holdings) Limited (Parent Company) 10.512% Telecom Plus PLC 2016-07-04 8,438,440 10.512%
TR-1 Norges Bank Telecom Plus PLC 2016-06-14 3,223,773 4.03%
TR-1 Standard Life Investments (Holdings) Limited (Parent Company) 11.580 % comprised of: Standard Life Investments Limited 11.580 % Ignis Investment Services Limited 0.000% Telecom Plus PLC 2016-04-25 9,293,883 11.58%
TR-1 Norges Bank Telecom Plus PLC 2016-04-13 2,748,445 3.44%
TR-1 Deutsche Bank AG TELECOM PLUS PLC 2016-04-11 0 0%
TR-1 Deutsche Bank AG TELECOM PLUS PLC 2016-01-08 4,383,194 5.46%
TR-1 Deutsche Bank AG TELECOM PLUS PLC 2015-12-28 0 0%
TR-1 Deutsche Bank AG TELECOM PLUS PLC 2015-11-26 4,336,827 5.41%
TR-1 Standard Life Investments (Holdings) Limited (Parent Company) 12.976% comprised of: Standard Life Investments Limited 12.976% Ignis Investment Services Limited 0% Telecom Plus PLC 2015-08-17 10,405,723 12.976%
TR-1 Standard Life Investments (Holdings) Limited (Parent Company) 13.788% comprised of: Standard Life Investments Limited 13.788% Ignis Investment Services Limited 0% Telecom Plus PLC 2015-05-06 11,052,923 13.788%
TR-1 Schroders plc Telecom Plus plc 2015-04-17 4,525,085 5.645%
TR-1 Standard Life Investments (Holdings) Limited (Parent Company) 14.138% comprised of: Standard Life Investments Limited 14.138% Ignis Investment Services Limited 0% Telecom Plus PLC 2015-04-16 11,333,405 14.138%
TR-1 Standard Life Investments (Holdings) Limited (Parent Company) 13.021% comprised of: Standard Life Investments Limited 13.021% Ignis Investment Services Limited 0% Telecom Plus PLC 2015-02-18 10,434,842 13.021%
TR-1 Standard Life Investments (Holdings) Limited (Parent Company) 12.116% comprised of: Standard Life Investments Limited 12.116% Ignis Investment Services Limited 0% Telecom Plus PLC 2015-02-02 9,708,903 12.116%
TR-1 Standard Life Investments (Holdings) Limited (Parent Company) 11.082% comprised of: Standard Life Investments Limited 11.082% Ignis Investment Services Limited 0% Telecom Plus PLC 2015-01-19 8,879,361 11.082%
TR-1 Schroders plc Telecom Plus plc 2013-03-17 4,005,752 4.982%
Holdings in Company Telecom Plus plc 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
TR-1 TELECOM PLUS PLC 0 0%
Holdings in Company Telecom Plus PLC, GB0008794710 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus plc 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Telecom Plus PLC, GB0008794710 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus plc 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus plc 0 0%
Holdings in Company TELECOM PLUS PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC, GB0008794710 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC, GB0008794710 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus plc 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus plc 0 0%
Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus plc 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus plc 0 0%
Telecom Plus PLC 0 0%
Holdings in Company Telecom Plus PLC 0 0%

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