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Demetra Holdings Plc

Fund Information / Factsheet Apr 15, 2016

2462_rns_2016-04-15_8da17348-ec59-46f4-8080-9db51b5a38ed.pdf

Fund Information / Factsheet

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DEMETRA INVESTMENTS QUARTERLY REPORT – 31 MARCH 2016

ISSUER / ASSET SECTOR MARKET CATEGORY OF
TITLE
NUMBER
OF TITLES
CURRENT
VALUE
TOTAL
CURRENT
PERCENTAGE
OF TOTAL
VALUE ASSETS
%
1.Investments in Land and Property
Development
Land and Property
Development
-
in Cyprus
N/A Other investments N/A 30.866.506
-
in Romania
N/A Other investments N/A 7.517.500
-
in Bulgaria
N/A Other investments N/A 4.617.885 43.001.891 34.47%
2. Bank deposits and cash N/A N/A N/A N/A 30.245.476 30.245.476 24.25%
3. Hellenic Bank Public Company Ltd Financial Main Market Shares 19.879.615 22.861.557
Corporate bonds Bonds Market Convertible Securities
HBCS1
23.441 8.908 22.870.465 18.33%
4. Investments in other projects Other projects N/A Other investments N/A 9.381.162 9.381.162 7.52%
5. Logicom Public Ltd Technology Main Market Shares 7.615.937 5.544.402 5.544.402 4.44%
6. Allianz Euro High Yield Bond IT N/A N/A Equity Fund 1.853 2.794.441 2.794.441 2.24%
7.
Allianz RCM European Equity Dividend IT
N/A N/A Equity Fund 672 1.716.747 1.716.747 1.38%
8. A&P (Andreou & Paraskevaides)
Ent. Plc
Co Ltd (Note)
Consumer goods Alternative Market Shares 18.500.000 1.424.500 1.424.500 1.14%
9. Allianz Europe Equity Growth AT N/A N/A Equity Fund 6.270 1.383.120 1.383.120 1.11%
10. Allianz Flexible Bond Strategy IT N/A N/A Equity Fund 941 1.025.563 1.025.563 0.82%
TOTAL 119.387.767 119.387.767 95.71%

Total assets €124.739.935

Net asset value per share as at 31 March 2016: €0.6143

The fully diluted asset value is not applicable.

The market value of the listed investments was calculated on the basis of the bid price as at 31 March 2016.

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