Last update: 23.11.2024 18:50 (GMT+2)
BALTI KASVUFOND
INVESTMENT REPORT
30.04.1999
in EEK
INVESTMENT REPORT
Number Market value Interest Share
Kalev share 9750 112,125.00 0.62%
Amserv Grupp share 97032 970,320.00 5.35%
Baltika share 58000 846,800.00 4.67%
Viisnurk share 33670 743,096.90 4.10%
Võru Juust share 9800 137,200.00 0.76%
Reval Hotelligrupp share 15054 519,363.00 2.86%
Eesti Näitused share 19266 192,660.00 1.06%
Eesti Telekom share 8118 854,419.50 4.71%
Hansapank share 5,000 432,500.00 2.38%
Ventspils Nafta share 43166 674,006.02 3.71%
Vilniaus Banka share 8000 841,078.78 4.64%
Pankade Kaardikeskus bond 1000 1,023,281.00 10.00% 5.64%
Hüvitusfond 9 8266 887,189.78 11.00% 4.89%
Hüvitusfond 6 11008 825,600.00 7.00% 4.55%
Tallinn City Eurobond 80 1,253,362.27 6.69% 6.91%
Tallinna Vesi commercial paper 8 798,190.02 5.21% 4.40%
Hüvitusfond 13 3999 385,105.89 7.00% 2.12%
Svensk Exportkredit commercial paper 9 897,580.80 8.50% 4.95%
Swedbank commercial paper 80 794,560.36 5.50% 4.38%
European Investment Bank bond 55 698,163.24 7.00% 3.85%
Austrian Government bond 4,649,580 776,191.23 7.00% 4.28%
Deposit 3,483,336.27 3.00% 19.20%
Total 18,146,130.06 100.00%
Units issued in 1999 5 333 718,502.85
Units returned in 1999 6 801 843,121.00
Number of issued and unreturned
units as of 30.04.99. 134,744
Liabilities 25,540.20
Net asset value 134.48
Mihkel Õim
Fund Manager
372 6131 336