1 day+0.62%
1 week+1.80%
Current month+3.30%
1 month+1.73%
3 months+0.70%
6 months+7.30%
Current year+12.13%
1 week 14.37
Extreme 14.37
14.88
1 month 14.02
Extreme 14.02
14.88
Current year 12.93
Extreme 12.93
14.99
1 year 11.88
Extreme 11.885
14.99
3 years 7.84
Extreme 7.84
14.99
5 years 7.84
Extreme 7.84
17.62
10 years 6.35
Extreme 6.3502
17.62
Manager TitleAgeSince
Chief Executive Officer 60 30/06/2016
Director of Finance/CFO 60 31/12/2014
Compliance Officer - 30/04/2022
Director TitleAgeSince
Director/Board Member 78 13/02/2011
Director/Board Member 84 13/02/2011
Director/Board Member 81 13/02/2011
Date Insider Type Main position Quantity % Market Cap.
10/11/25 Sell

Chairperson

131,004 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.($)
+0.62%+1.80%+20.00%+54.43% 95.83M
+1.03%-2.19%+18.21%+96.44% 14.38B
+0.89%-5.75%+40.17%+111.24% 11.4B
-2.21%-1.95%-8.36%+31.07% 9.05B
-0.55%-2.50%-13.77%-12.38% 7.55B
+1.20%-3.89%+27.56%+109.33% 7.3B
-1.35%-5.28%+14.87%+57.07% 6.3B
0.00%+1.56%+13.01%+27.78% 4.85B
-0.18%+0.73%+13.31%+9.06% 4.17B
-2.96%-2.22% - - 3.7B
Average -0.35%-1.91%+13.89%+53.78% 6.88B
Weighted average by Cap. -0.15%-2.91%+14.68%+64.18%
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
17/07/26 US$14.70 +0.62% 16,974
16/07/26 US$14.61 -0.41% 43,772
15/07/26 US$14.67 +0.58% 26,721
14/07/26 US$14.59 +1.43% 11,831
13/07/26 US$14.38 -0.42% 8,327