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AIAS Investment Public LTD

Fund Information / Factsheet Apr 15, 2013

2448_rns_2013-04-15_74106cb9-c16c-40cc-b02e-3ad76fc36b00.pdf

Fund Information / Factsheet

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THREE-MONTH REPORT OF INVESTMENT COMPANIES (SEC Circular E09/2002)

Name : AIAS INVESTMENT PUBLIC LIMITED

Three-month report as at: 31/03/2013
CURRENT PERCENTAGE
ISSUER / ASSET CATEGORY
OF TITLE
SECTOR NUMBER
OF TITLES
VALUE
OF TOTAL
ASSETS
DEBTORS n/a n/a n/a 5.991.620 36,71%
DIAS PUBLISHING LTD Shares Not Listed 1.375.552 3.055.351 18,72%
PROPERTIES n/a n/a n/a 2.211.781 13,55%
SUPHIRE (VENTURE CAPITAL) Shares Public Not Listed 4.788.273 1.628.013 9,97%
ASTERAS KTIMATIKI LTD Shares Properties 1.600 1.431.366 8,77%
KORONI PARADISE A.E. Shares Properties 37.500 1.163.122 7,13%
CASH AND CONVERTIBLE TO CASH n/a n/a n/a 180.923 1,11%
HARVEST CAPITAL MANAGEMENT PUBLIC LTD Shares Financial 1.843.650 130.899 0,80%
HELLENIC BANK PUBLIC COMPANY LTD BONDS 2016 Shares Financial 25.364.097 129.357 0,79%
MASSOURAS BROS SHIPPING Bonds Public Not Listed 161.000 123.788 0,76%
Total € 16.046.220,11 98,30%

Fully diluted Net Asset Value *

* Not given since there are no issued warrants

This announcement will be published in a national newspaper on Monday April 15, 2013.

Total Assets € 16.323.431,03

Net Asset Value 17,28 cents

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