Avi Global Trust PLC logo

Avi Global Trust PLC (AGTl)

Market Open
CBOE CBOE
- Market Cap
- P/E Ratio
0.18% Div Yield
- Volume
- Eps
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Summary

AGTl pays dividends to its shareholders, with the most recent payment made on Jan 02, 2026. The next announced payment will be in In 1 month on Jul 24, 2026 for a total of 1.5 GBX.
Avi Global Trust PLC has completed 1 stock splits, with the recent split occurring on Jan 17, 2022.
The company's stock is traded on 2 different exchanges and in various currencies, with the primary listing on LSE (GBX).

Avi Global Trust PLC (AGTl) FAQ

On which exchange is it traded?

Avi Global Trust PLC is listed on CBOE.

What is its stock symbol?

The ticker symbol is AGTl.

Does it pay dividends? What is the current yield?

Yes, It pays dividends and the current yield is 0.18%.

What is its market cap?

As of today, no market cap data is available.

Has Avi Global Trust PLC ever had a stock split?

Avi Global Trust PLC had 1 splits and the recent split was on Jan 17, 2022.

Avi Global Trust PLC Profile

- Industry
- Sector
- CEO
CBOE Exchange
US46435G2764 ISIN
United States Country
- Employees
25 Jun 2026 Last Dividend
17 Jan 2022 Last Split
- IPO Date

Overview

The company operates as an investment fund with a focus on providing exposure to the Argentine equity market. It is structured to allocate at least 80% of its assets towards securities that are part of its underlying index or possess economic characteristics that closely mirror those of the index’s components. The goal is to track the broad equity market in Argentina, ensuring a representation of its diverse sectors through a minimum number of constituents, as determined by MSCI, Inc., the entity responsible for the index's maintenance and calculation. Unlike diversified funds, this fund maintains a non-diversified status, concentrating its investments in the Argentine market as defined by its benchmark index.

Products and Services

  • Equity Investments in Argentina

    This service entails the fund investing a significant portion of its assets, specifically 80% or more, into stocks and shares that are part of its underlying index. These investments aim to replicate the economic characteristics and performance of the index constituents, focusing on the broad Argentine equity universe. The strategic selection of these equities is intended to provide investors with focused exposure to Argentina's market dynamics and potential growth opportunities within its various sectors.

  • Investments with Economic Characteristics Identical to Index Components

    Alongside direct investments in the index components, the fund also allocates assets towards financial instruments and other investments that have economic characteristics substantially identical to those of the index’s components. This approach allows for a more flexible investment strategy that can adapt to the evolving Argentine equity market while staying aligned with the fund’s objective of tracking the index's performance. It ensures that the fund's holdings mirror the economic profile of the underlying index, thereby maintaining fidelity to its investment mandate.

  • Index-Based Investment Strategy

    The foundation of the fund's investment strategy is the targeted index, designed by MSCI, Inc., which aims to cover the broad spectrum of the Argentine equity market with a minimum selection of constituents. By adhering to this index, the fund offers its investors a systematic approach to investing in Argentina, leveraging MSCI’s expertise in index construction and maintenance. This strategy endeavors to optimize market coverage and performance representation, granting investors an efficient means to gain exposure to Argentina's economic landscape.

Contact Information

Address: -
Phone: 1-800-474-2737