Andmed seisuga: 24.11.2024 15:57 (GMT+2)
BALTI KASVUFOND
INVESTMENT REPORT
INVESTMENT REPORT 30.11.1999
Assets Number Market value Interest Share
Deposit 1,671,643.50 2.00% 8.33%
Hansapank share 16,000 1,472,000.00 7.33%
Amserv Grupp share 97,032 970,320.00 4.83%
Baltika share 59,000 826,000.00 4.12%
Viisnurk share 48,670 973,400.00 4.85%
Ühispank share 5,000 102,500.00 0.51%
Eesti Telekom share 13,800 1,259,250.00 6.27%
Reval Hotelligrupp share 10,054 266,431.00 1.33%
Privatization Vouchers 2,772,045 970,215.75 4.83%
Harju Elekter share 9,000 843,750.00 4.20%
Ventspils Nafta share 63,166 863,838.18 4.30%
Vilniaus Banka share 9,000 869,856.75 4.33%
Unibank share 21,000 535,718.57 2.67%
Hüvitusfond 15 16,605 1,595,555.49 7.00% 7.95%
Tallinn City Eurobond 80 1,259,175.78 6.69% 6.27%
Estib FRN bond 100 800,494.44 3.58% 3.99%
Pärnu city bond 64 641,425.68 7.25% 3.20%
Kunda Nordic commercial paper 7 676,455.62 8.41% 3.37%
Tallinna Kaubamaja commercial paper 35 209,445.83 6.90% 1.04%
Eesti Ühispank FRN bond 1 1,587,041.42 6.60% 7.91%
Nordic Investment Bank bond 15 1,676,493.95 7.00% 8.35%
Swap in Hansapank 1,040.47 0.01%
Total 20,072,052.43 100.00%
Number of units issued in 1999 34,955 4,690,838.44
Number of units redeemed in 1999 26,154 3,427,344.07
Number of units issued and
unredeemed as of 30.11.99 145,013
Liabilities 64,519.37
Net asset value 137.97
Mihkel Õim
Fund Manager
+372 61 31 336