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Demetra Holdings Plc

Net Asset Value Jul 10, 2017

2462_10-q_2017-07-10_3b772fe6-5646-4fca-ba4f-135f67a0ad16.pdf

Net Asset Value

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DEMETRA INVESTMENTS

QUARTERLY REPORT – 30 June 2017

ISSUER / ASSET SECTOR MARKET CATEGORY OF NUMBER OF CURRENT VALUE TOTAL CURRENT PERCENTAGE OF
TITLE TITLES VALUE TOTAL ASSETS
%
1.Investments in Land and Property
Land and Property Development
Development N/A Other investments N/A 29.671.974
-
in Cyprus
N/A Other investments N/A 6.963.000
-
in Romania
N/A Other investments N/A 4.411.584 41.046.558 33.10%
-
in Bulgaria
2. Bank deposits and N/A N/A N/A N/A 30.981.130 30.981.130 24.98%
cash
3. Hellenic Bank Financial Main Market Shares 19.954.056 17.220.350
Public Company Ltd Corporate bonds Bonds Market Convertible 23.441 6.095 17.226.445 13.89%
Securities -
HBCS1
4. Investments in Other projects N/A Other investments N/A 9.955.509 9.955.509 8.03%
other projects
5. Logicom Public Ltd Technology Main Market Shares 7.615.937 8.225.212 8.225.212 6.63%
6. Allianz Euro High N/A N/A Equity Fund 1.853 3.069.860 3.069.860 2.48%
Yield Bond IT
7. A. Tsokkos Hotels Consumer services Main Market Shares 15.565.000 2.070.145 2.070.145 1.67%
Public Ltd
8. Allianz RCM N/A N/A Equity Fund 672 1.952.179 1.952.179 1.57%
European Equity
Dividend IT
9. Allianz Europe N/A N/A Equity Fund 6.270 1.588.789 1.588.789 1.28%
Equity Growth AT
10. A&P (Andreou & Consumer goods Alternative Market Shares 18.500.000 1.350.000 1.350.000 1.09%
Paraskevaides) Ent.
Plc Co Ltd
TOTAL 117.466.327 117.466.327 94.73%

Total assets €124.007.713

Net asset value per share as at 30 June 2017: €0.6093

The fully diluted asset value is not applicable.

The market value of the listed investments was calculated on the basis of the bid price as at 30 June 2017.

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