Compare Ticker API individual plans

Latency, RNS history, company and fund data, content formats, filters and quotas across every individual plan, side by side.

Individual plans are licenced for personal use by retail traders and investors. Building something commercial?

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Free

Free

Data access

Delay
Time between an RNS announcement being published and appearing in the API.
15 min
History
How far back you can query announcements. Useful for backtests and alert reconstruction.
7 days

Company & fund data

NAV
Net asset value for funds and investment trusts: the latest figure, the whole universe in one call, or a history.
—
Buybacks
Every repurchase an issuer has announced, plus NAV accretion per share and average discount to NAV.
—
Dividends
Every declared dividend, and where the instrument’s cycle stands now.
—
Corporate events
Results, AGMs and dividend dates, resolved to the company.
—
Performance
The return figures an issuer states about itself, each linked to the report it came from.
—

Content

HTML
The original RNS announcement, in HTML.
✓
PDF
The original RNS announcement, pre-converted to PDF.
✓
LLM-optimised
Token-optimised plain-text content, suited to LLM ingestion and retrieval.
—

Filters

Date
Restrict results to a date or date range.
✓
Symbol & ISIN
Filter by ticker symbol (e.g. VOD) or ISIN to focus on specific instruments.
—
Keyword & sector
Free-text headline search and FCA / ticker category filters.
—

Delivery

REST API
Standard HTTP polling endpoints with cursor-based pagination.
✓
Webhooks
Push delivery to your endpoint within seconds of an announcement being published.
—

Quotas & limits

Rate limit
Sustained requests per second.
1req/s
Weekly quota
Total requests permitted per week. Resets every Sunday at 00:00 UTC.
350req/wk
Max page size
Largest single-page response size.
50

Lite

£29/mo

Data access

Delay
Time between an RNS announcement being published and appearing in the API.
15 min
History
How far back you can query announcements. Useful for backtests and alert reconstruction.
30 days

Company & fund data

NAV
Net asset value for funds and investment trusts: the latest figure, the whole universe in one call, or a history.
—
Buybacks
Every repurchase an issuer has announced, plus NAV accretion per share and average discount to NAV.
—
Dividends
Every declared dividend, and where the instrument’s cycle stands now.
—
Corporate events
Results, AGMs and dividend dates, resolved to the company.
—
Performance
The return figures an issuer states about itself, each linked to the report it came from.
—

Content

HTML
The original RNS announcement, in HTML.
✓
PDF
The original RNS announcement, pre-converted to PDF.
✓
LLM-optimised
Token-optimised plain-text content, suited to LLM ingestion and retrieval.
—

Filters

Date
Restrict results to a date or date range.
✓
Symbol & ISIN
Filter by ticker symbol (e.g. VOD) or ISIN to focus on specific instruments.
✓
Keyword & sector
Free-text headline search and FCA / ticker category filters.
—

Delivery

REST API
Standard HTTP polling endpoints with cursor-based pagination.
✓
Webhooks
Push delivery to your endpoint within seconds of an announcement being published.
—

Quotas & limits

Rate limit
Sustained requests per second.
5req/s
Weekly quota
Total requests permitted per week. Resets every Sunday at 00:00 UTC.
1,500req/wk
Max page size
Largest single-page response size.
50

Advanced

£59/mo

Data access

Delay
Time between an RNS announcement being published and appearing in the API.
<1 min
History
How far back you can query announcements. Useful for backtests and alert reconstruction.
1 year

Company & fund data

NAV
Net asset value for funds and investment trusts: the latest figure, the whole universe in one call, or a history.
✓
Buybacks
Every repurchase an issuer has announced, plus NAV accretion per share and average discount to NAV.
✓
Dividends
Every declared dividend, and where the instrument’s cycle stands now.
✓
Corporate events
Results, AGMs and dividend dates, resolved to the company.
✓
Performance
The return figures an issuer states about itself, each linked to the report it came from.
✓

Content

HTML
The original RNS announcement, in HTML.
✓
PDF
The original RNS announcement, pre-converted to PDF.
✓
LLM-optimised
Token-optimised plain-text content, suited to LLM ingestion and retrieval.
—

Filters

Date
Restrict results to a date or date range.
✓
Symbol & ISIN
Filter by ticker symbol (e.g. VOD) or ISIN to focus on specific instruments.
✓
Keyword & sector
Free-text headline search and FCA / ticker category filters.
✓

Delivery

REST API
Standard HTTP polling endpoints with cursor-based pagination.
✓
Webhooks
Push delivery to your endpoint within seconds of an announcement being published.
—

Quotas & limits

Rate limit
Sustained requests per second.
15req/s
Weekly quota
Total requests permitted per week. Resets every Sunday at 00:00 UTC.
3,500req/wk
Max page size
Largest single-page response size.
100

Ultimate

£149/mo

Data access

Delay
Time between an RNS announcement being published and appearing in the API.
<1 min
History
How far back you can query announcements. Useful for backtests and alert reconstruction.
3 years

Company & fund data

NAV
Net asset value for funds and investment trusts: the latest figure, the whole universe in one call, or a history.
✓
Buybacks
Every repurchase an issuer has announced, plus NAV accretion per share and average discount to NAV.
✓
Dividends
Every declared dividend, and where the instrument’s cycle stands now.
✓
Corporate events
Results, AGMs and dividend dates, resolved to the company.
✓
Performance
The return figures an issuer states about itself, each linked to the report it came from.
✓

Content

HTML
The original RNS announcement, in HTML.
✓
PDF
The original RNS announcement, pre-converted to PDF.
✓
LLM-optimised
Token-optimised plain-text content, suited to LLM ingestion and retrieval.
✓

Filters

Date
Restrict results to a date or date range.
✓
Symbol & ISIN
Filter by ticker symbol (e.g. VOD) or ISIN to focus on specific instruments.
✓
Keyword & sector
Free-text headline search and FCA / ticker category filters.
✓

Delivery

REST API
Standard HTTP polling endpoints with cursor-based pagination.
✓
Webhooks
Push delivery to your endpoint within seconds of an announcement being published.
✓

Quotas & limits

Rate limit
Sustained requests per second.
30req/s
Weekly quota
Total requests permitted per week. Resets every Sunday at 00:00 UTC.
5,000req/wk
Max page size
Largest single-page response size.
200

Frequently asked questions

Which Ticker API plan should I choose?

The Free plan is suitable for occasional use or testing. Lite suits portfolio traders and investors who want filtering and 30 days of history. Advanced adds low-latency feed, full headline search and category filters for active traders. Ultimate is for power users running automated strategies and includes webhook delivery and LLM-optimised content.

Do I need a Professional plan?

Individual plans are licenced for personal use only and redistribution of data is strictly prohibited. If you intend to integrate the data into a product, an internal business workflow, or you do not meet the criteria of a Retail Investor, you need a Professional plan.

What does "low latency" mean?

Low-latency plans (Advanced and Ultimate) deliver RNS announcements within roughly one minute of publication, end-to-end. Free and Lite are delayed by 15 minutes.

Can I upgrade or downgrade my plan later?

Yes. Upgrades take effect immediately and are prorated against your current billing period. Downgrades are scheduled for the end of the current billing period.

How does the weekly quota work?

Each plan includes a weekly request allowance. The quota counter resets every Sunday at 00:00 UTC. Once you exhaust the quota, requests return HTTP 429 until the next reset.

What is included in every individual plan?

All individual plans include the full RNS announcement feed (with the latency for that tier), HTML and PDF content for each announcement and REST API access.

Which plans include NAV, buyback and dividend data?

Advanced and Ultimate. Both include net asset value for funds and investment trusts, share buybacks with NAV accretion and discount measures, declared dividends, corporate events, and the return figures issuers state in their own reports. Free and Lite cover RNS announcements only.

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