Fund Information / Factsheet • Jan 16, 2023
Fund Information / Factsheet
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| ISSUER / ASSET | SECTOR | MARKET | CATEGORY OF | NUMBER OF | BOOK VALUE |
TOTAL BOOK | PERCENTAGE OF |
|---|---|---|---|---|---|---|---|
| TITLE | TITLES | VALUE | TOTAL ASSETS | ||||
| € | € | % | |||||
| 1. Hellenic Bank | Financial | Main Market | Shares | 88.064.705 | 223.167.684 | ||
| Public Company Ltd | Corporate bonds | Bonds Market | Convertible | 23.441 | 19.222 | 223.186.906 | 74.59% |
| Securities - HBCS1 |
|||||||
| 2.Investments in | Land and Property | ||||||
| Land and Property | Development | ||||||
| Development | N/A | Other investments | N/A | 30.336.295 | |||
| - in Cyprus |
N/A | Other investments | N/A | 10.707.700 | |||
| - in Romania |
N/A | Other investments | N/A | 2.206.944 | 43.250.939 | 14.46% | |
| - in Bulgaria |
|||||||
| 3. Logicom Public Ltd | Technology | Main Market | Shares | 7.615.937 | 14.394.121 | 14.394.121 | 4.81% |
| 4. Investments in | Other projects | N/A | Other investments | N/A | 11.811.160 | 11.811.160 | 3.95% |
| other projects | |||||||
| 5.Lordos Hotels | Consumer Products | Alternative Market | Shares | 5.604.748 | 4.119.490 | 4.119.490 | 1.38% |
| (Holdings) Public Ltd | |||||||
| 6. NETinfo Plc |
Technology | Alternative Market |
Shares | 734.895 | 867.176 | 867.176 | 0.29% |
| 7. Bank deposits and cash |
N/A | N/A | N/A | N/A | 776.662 | 776.662 | 0.26% |
| 8. Ermes Department | Consumer Products | Surveillance Market | Shares | 2.000.000 | 59.000 | 59.000 | 0.02% |
| Stores Plc | |||||||
| 9. Bank of Cyprus | Financial | Main Market | Shares | 1.959 | 3.330 | 3.330 | 0.00% |
| Holdings Plc | |||||||
| 10. CLR Investment | Financial | Alternative Market | Shares | 232.165 | 580 | 580 | 0.00% |
| Fund Public Ltd | |||||||
| TOTAL | 104.277.850 | 293.469.364 | 298.469.364 | 99.75% |
Total assets €299.202.628
Net asset value per share as at 31 December 2022: €1.4443 (Note)
The fully diluted asset value is not applicable.
The book value of the listed investments was calculated on the basis of the bid price as at 31 December 2022 with the exception of the investment in Hellenic Bank, which is valued on the basis of the net position.
Note: The net asset value per share is calculated by dividing the total net assets (31 December 2022: €288.869.596) by the number of issued shares (200.000.000 shares). The above calculation does not include the profits or losses for the fourth quarter of 2022 attributable to the Group from the shareholding in Hellenic Bank, as this information is not available.
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