Andmed seisuga: 25.11.2024 01:41 (GMT+2)
BALTI KASVUFOND
REPORT
INVESTMENT REPORT 29.02.2000
Assets Number Market value Interest Share
Current account 269,108 0.94%
Deposit 3,609,056 2.25% 12.66%
Hansapank share 11,000 1,526,250 5.36%
Amserv Group share 97,032 970,320 3.40%
Viisnurk share 48,670 1,435,765 5.04%
Ühispank share 29,000 1,015,000 3.56%
Eesti Telekom share 9,800 1,443,050 5.06%
Privatisation Vouchers 3,000,045 1,320,020 4.63%
Harju Elekter share 9,000 1,201,500 4.22%
Ventspils Nafta share 63,166 804,074 2.82%
Vilniaus Banka share 6,500 759,376 2.66%
Unibank share 33,000 1,474,730 5.17%
Rokiskio Suris share 5,000 453,521 1.59%
Hüvitusfond 15 16,605 1,677,105 7.00% 5.88%
Tallinn City Eurobond 80 1,276,119 5.36% 4.48%
City of Pärnu bond 124 1,246,595 6.88% 4.37%
Kunda Nordic commercial paper 7 688,148 7.47% 2.41%
Eesti Gaas commercial paper 100 998,849 4.15% 3.50%
Eesti Ühispank FRN bond 1 1,613,038 6.60% 5.66%
Leonia Bank commercial paper 100 997,622 3.90% 3.50%
Nordic Investment Bank bond 15 1,700,544 6.00% 5.97%
Microlink Bond 50 505,564 8.50% 1.77%
ESS Bond 32 354,180 6.50% 1.24%
Lithuanian Government bond 3,000 1,156,192 10.10% 4.06%
Swap at Hansapank 3,671 0.01%
Swap at Hansapank -890 0.00%
Total 28,498,506 100%
Number of units issued in 2000 28,270 4,230,283
Number of units redeemed in 200 11,328 1,737,326
Number of units issued and
unredeemed as of 29.02.2000 175,326
Liabilities 472,771.04
Net Asset Value 159.85
Mihkel Õim
Fund Manager
+372 61 31 336