Fund Information / Factsheet • Jan 14, 2014
Fund Information / Factsheet
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(SEC Circular E09/2002)
Three-month report as at: 31/12/2013
| CATEGORY | SECTOR | NUMBER | CURRENT VALUE |
PERCENTAGE OF TOTAL |
|
|---|---|---|---|---|---|
| ISSUER / ASSET | OF TITLE | OF TITLES | € | ASSETS | |
| CENTRE POINT BUILDING (3 FLOORS) | n/a | n/a | n/a | 1.170.079 | 91,16% |
| SUPHIRE (VENTURE CAPITAL) | Shares | Not Listed | 200.000 | 68.000 | 5,30% |
| DEBTORS | n/a | n/a | n/a | 31.761 | 2,47% |
| BLUE ISLAND PLC | Shares | Consumer goods | 74.565 | 6.711 | 0,52% |
| CASH AND CONVERTIBLE TO CASH | Shares | Financial | n/a | 2.939 | 0,23% |
| HARVEST ADVISORS LTD | Shares | Not Listed | 240.000 | 2.400 | 0,19% |
| AIAS INVESTMENT PUBLIC LTD | Shares | Financial | 627.000 | 1.254 | 0,10% |
| REGALLIA HOLDINGS & INVESTMENTS PUBLIC LTD | Shares | Financial | 361.846 | 362 | 0,03% |
| Total | € 1.283.505,56 | 100,00% |
Total Assets € 1.283.505,56
Fully diluted Net Asset Value *
* Not given since there are no issued warrants
Net Asset Value 6,45 cents
This announcement will be published in a national newspaper on Wednesday January 15, 2014.
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