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Isxis Investment Public LTD

Net Asset Value Oct 15, 2015

2470_rns_2015-10-15_d8a1477b-f07f-40a1-a27e-3857e34e93fe.pdf

Net Asset Value

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THREE-MONTH REPORT OF INVESTMENT COMPANIES

(SEC Circular E09/2002)

Name : ISHIS INVESTMENT PUBLIC LIMITED

Three-month report as at: 30/06/2015
ISHIS INVESTMENT FUBLIC LIMITEL
0.00000000000
CURRENT PERCENTAGE
ISSUER / ASSET CATEGORY
OF TITLE
SECTOR NUMBER
OF TITLES
VALUE
OF TOTAL
ASSETS
DEBTORS n/a n/a n/a 265.971 40,74%
THUNDERWORX LTD Shares Telecommunications 708.330 193.641 29,66%
MASSOURAS BROS SHIPPING Shares Not Listed 80.000 61.510 9,42%
HARVEST CAPITAL MANAGEMENT PUBLIC LTD Shares Financial 696.585 49.458 7,57%
AIAS INVESTMENT PUBLIC LTD Shares Financial 4.710.000 47.100 7,21%
SUPHIRE (VENTURE CAPITAL) Shares Not Listed 88.096 29.953 4,59%
BLUE ISLAND PLC Shares Consumer Goods 19.900 4.179 0,64%
REGALLIA HOLDINGS & INVESTMENTS PUBLIC LTD Shares Financial 590.500 591 0,09%
CASH AND CONVERTIBLE TO CASH n/a n/a n/a 261 0,04%
ART AERI LTD Shares Not Listed 250 250 0,04%
Total € 652.912,06 100,00%

Total Assets € 652.912,06

Net Asset Value 5,08 cents

Fully diluted Net Asset Value *

* Not given since there are no issued warrants

This announcement will be published in a national newspaper on Thursday October 15, 2015.

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