Fund Information / Factsheet • Jan 13, 2023
Fund Information / Factsheet
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Name : AIAS INVESTMENT PUBLIC LIMITED Three-month report as at: 31/12/2022
| CATEGORY | SECTOR | NUMBER | CURRENT VALUE |
PERCENTAGE OF TOTAL |
|
|---|---|---|---|---|---|
| ISSUER / ASSET | OF TITLE | OF TITLES | € | ASSETS | |
| CASH AND CONVERTIBLE TO CASH | n/a | n/a | n/a | 7.737.850 | 31,33% |
| DEBTORS | n/a | n/a | n/a | 4.913.075 | 19,89% |
| DIAS PUBLISHING LTD | Shares | Not Listed | 1.375.552 | 2.751.104 | 11,14% |
| PROPERTIES | n/a | n/a | n/a | 2.211.627 | 8,96% |
| SUPHIRE (VENTURE CAPITAL) | Shares | Public Not Listed | 4.788.273 | 1.628.013 | 6,59% |
| KORONI PARADISE A.E. | Shares | Properties | 37.500 | 1.163.122 | 4,71% |
| OTHER NON FINANCIAL ASSETS | n/a | n/a | n/a | 616.736 | 2,50% |
| PREPAYMENTS FOR PURCHASES OF FIXED | |||||
| ASSETS | n/a | n/a | n/a | 578.995 | 2,34% |
| OPAP S.A. | Shares | Listed in ASE | 15.862 | 209.854 | 0,85% |
| ART AERI LTD | Shares | Not Listed | 554 | 177.205 | 0,72% |
| Total | € 21.987.581,28 | 89,04% |
Total Assets € 24.695.191,80 Net Asset Value 29,17 cents
Fully diluted Net Asset Value * * Not given since there are no issued warrants
This announcement will be published in a national newspaper on Sunday January 15, 2023.
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