GCP Asset Backed Income

GABIUnknown Sector
64.00GBX
-0.31%
Market Cap
141.00M
Volume
374.74k
43% of avg
P/E Ratio
EPS (TTM)
N/A
Beta
N/A
Day Range
64.00p - 64.60p
52 Week Range
62.20p64.00p82.00p
64.00p

Upcoming Events

31 December 2025
Grant Thornton to conduct audit of financial statements
GABI
NEUTRAL

GCP Asset Backed Income Fund Announces Change in Shareholding

The investment fund announces a change in its major shareholding, with no further details provided.

GABI
NEUTRAL

GCP Asset Backed Income Fund Announces Holding Change

The investment fund has disclosed a change in its shareholding position in the company.

GABI
NEUTRAL

GCP Asset Backed Announces Annual General Meeting

The asset-backed investment company has announced details of its upcoming Annual General Meeting.

GABI
NEUTRAL

GCP Asset Backed Appoints New Auditor

The asset-backed investment company has appointed a new auditor, Grant Thornton, to succeed PricewaterhouseCoopers.

GABI
NEUTRAL

GCP Asset Backed Income Fund Provides Annual Report Update on Managed Wind-Down

The asset-backed income fund provides an update on its managed wind-down, reporting progress on share redemptions and asset realizations.

GABI
NEUTRAL

Major Shareholder Reduces Stake in GCP Asset Backed Income Fund

A change in major shareholding for this asset management company, unlikely to significantly impact the share price.

GABI
NEUTRAL

Major Shareholder Discloses 5.34% Stake in GCP Asset Backed Income Fund

Asset management fund sees major shareholder disclosure

GABI
NEUTRAL

GCP Asset Backed Income Fund Completes Partial Redemption of Shares

Asset management firm completes partial redemption of shares, impacting its capital structure.

GABI
NEUTRAL

GCP Asset Backed Income Fund Announces Second Compulsory Redemption

The asset management company announces a second compulsory redemption of shares, totaling at least £45 million, as part of its realisation plan.

GABI
NEUTRAL

GCP Asset Backed Income Fund Provides Quarterly Update

Asset-backed investment company provides quarterly update, focusing on portfolio realisation and dividend payments.