Fund Information / Factsheet • Jan 13, 2022
Fund Information / Factsheet
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Name : AIAS INVESTMENT PUBLIC LIMITED
| Three-month report as at: | 31/12/2021 | |
|---|---|---|
| CURRENT | PERCENTAGE | ||||
|---|---|---|---|---|---|
| CATEGORY | SECTOR | NUMBER | VALUE | OF TOTAL | |
| ISSUER / ASSET | OF TITLE | OF TITLES | € | ASSETS | |
| DEBTORS | n/a | n/a | n/a | 5.882.912 | 41,19% |
| DIAS PUBLISHING LTD | Shares | Not Listed | 1.375.552 | 2.751.104 | 19,26% |
| PROPERTIES | n/a | n/a | n/a | 2.055.334 | 14,39% |
| SUPHIRE (VENTURE CAPITAL) | Shares | Public Not Listed | 4.788.273 | 1.628.013 | 11,40% |
| KORONI PARADISE A.E. | Shares | Properties | 37.500 | 1.163.122 | 8,14% |
| ART AERI LTD | Shares | Not Listed | 554 | 177.205 | 1,24% |
| OTHER NON FINANCIAL ASSETS | n/a | n/a | n/a | 143.960 | 1,01% |
| HARVEST CAPITAL MANAGEMENT PUBLIC LTD | Shares | Financial | 1.843.650 | 130.899 | 0,92% |
| MASSOURAS BROS SHIPPING | Shares | Consumer Services | 161.000 | 123.788 | 0,87% |
| ISXIS INVESTMENT PUBLIC LTD | Shares | Financial | 2.172.479 | 95.589 | 0,67% |
| Total | € 14.151.927,30 | 99,08% |
Fully diluted Net Asset Value *
* Not given since there are no issued warrants
This announcement has been be published in a national newspaper on Sunday January 16, 2022.
Total Assets € 14.283.438,33 Net Asset Value 15,90 cents
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