1 day+0.39%
1 week-0.13%
Current month+1.39%
1 month+4.21%
3 months+8.49%
6 months+6.02%
Current year+16.93%
1 week 15.16
Extreme 15.155
15.65
1 month 14.57
Extreme 14.57
15.65
Current year 12.93
Extreme 12.93
15.65
1 year 12
Extreme 12.005
15.65
3 years 7.84
Extreme 7.84
15.65
5 years 7.84
Extreme 7.84
17.62
10 years 6.35
Extreme 6.3502
17.62
Manager TitleAgeSince
Chief Executive Officer 60 01/07/2016
Director of Finance/CFO 60 01/01/2015
Compliance Officer - 01/05/2022
Director TitleAgeSince
Director/Board Member 78 14/02/2011
Director/Board Member 84 14/02/2011
Director/Board Member 81 14/02/2011
Date Insider Type Main position Quantity % Market Cap.
10/11/25 Sell

Chairperson

1,31,004 2.0096%
06/11/25 Sell

Chairperson

10,564 0.1620%
05/11/25 Sell

Chairperson

8,432 0.1293%
Change 5-day change 1-year change 3-year change Capi.($)
+0.39%-0.13%+21.53%+71.47% 10Cr
+1.98%+5.33%+35.24%+136.65% 1.66TCr
+2.10%+8.35%+73.82%+184.79% 1.44TCr
+1.77%-0.56%-8.76%+30.88% 930.12Cr
+2.05%+6.11%+50.38%+162.94% 828.61Cr
+0.87%-4.00%-21.74%-17.11% 697.89Cr
+5.06%+3.15%+17.30%+46.32% 694.86Cr
+1.42%+2.22%+11.38%+33.85% 492.18Cr
-1.09%-0.91%+10.23%+8.58% 409.98Cr
+0.40%-1.44% - - 396.8Cr
Average +1.49%+1.81%+21.04%+73.15% 756.36Cr
Weighted average by Cap. +1.88%+3.30%+28.67%+97.45%
Logo Royce Global Trust, Inc.
Royce Global Trust, Inc. (the Fund), formerly Royce Global Value Trust, Inc., is a diversified closed-end investment company. The Fund's investment objective is long-term growth of capital. The Fund is focused on investing 80% of its net assets in equity securities, such as common stock and preferred stock. The Fund generally invests a significant portion of its assets United States and non-United States small/mid-cap stocks. Under normal circumstances, at least 40% of the Fund's net assets will be invested in the equity securities of companies headquartered in at least three countries outside the United States. From time to time, a substantial portion of the Fund’s assets may be invested in companies located in a single country. Although there are no geographic limits on the Fund’s investments, no more than 35% of the Fund's net assets may be invested in the securities of companies headquartered in emerging markets. Royce & Associates, LP acts as the Fund’s investment advisor.
Employees
-
Date Price Change Volume
21/26/21 $15.33 +0.39% 14,210
20/26/20 $15.27 -0.59% 4,561
19/26/19 $15.36 +0.66% 46,161
18/26/18 $15.26 -0.07% 16,977
17/26/17 $15.27 -0.52% 36,814