Andmed seisuga: 26.11.2024 16:06 (GMT+2)
BALTI KASVUFOND
REPORT
INVESTMENT REPORT 30.11.2000
Assets Number Market value Interest Share
Current account 900,226.71 2.39%
Option at Hansapank 15.12.2000 33,000.00 0.09%
Baltika share 13,000 386,100.00 1.02%
Hansapank share 25,500 3,493,500.00 9.26%
Viisnurk share 42,670 1,962,820.00 5.20%
Eesti Telekom share 33,300 3,096,900.00 8.21%
Privatisation Vouchers 600,000 379,800.00 1.01%
Harju Elekter share 47,490 1,970,835.00 5.22%
Norma share 48,000 2,256,000.00 5.98%
Saku Õlletehas share 20,000 1,200,000.00 3.18%
Rokiskio Suris share 10,000 996,060.60 2.64%
Lietuvos Telekomas share 225,000 2,115,436.50 5.61%
Staburadze share 5,000 129,791.48 0.34%
Ventspils Nafta share 20,000 501,860.37 1.33%
SEB share 5,000 1,002,011.48 2.66%
Kalev commercial paper 15.12.2000 200 1,993,854.56 7.50% 5.28%
Pärnu City Bond 19.02.2001 124 1,310,623.11 6.88% 3.47%
Tartu Linna commercial paper 04.04.2001 100 980,091.88 5.85% 2.60%
Hüvitusfond 15 17.05.2001 16,605 1,710,315.00 7.00% 4.53%
ESS Bond 12.07.2001 102 1,079,262.94 6.50% 2.86%
TLN.Kaubamaja commercial paper 07.12.2001 150 1,397,719.13 7.18% 3.70%
Eesti Ühispank FRN bond 12.03.2002 1 1,593,070.32 8.59% 4.22%
Hüvitusfond 17 20.11.2002 19,150 1,915,000.00 7.00% 5.08%
Microlink Bond 10.01.2003 100 1,078,013.31 8.35% 2.86%
Tallinn City Eurobond 23.04.2004 80 980,283.71 6.90% 2.60%
Eesti Energia FRN 23.08.2004. 70 1,097,145.92 6.87% 2.91%
Nordbanken Hypothek bond 08.12.2004 2 2,170,297.19 7.15% 5.75%
Total 37,730,019.21 100%
Number of units issued in 2000 98,677 16,022,388.78
Number of units redeemed in 2000 47,787 7,769,604.35
Number of units issued and
outstanding as of 30.11.2000 209,274
Liabilities 104,941.92
Net Asset Value 179.79
Mihkel Õim
Fund Manager
+372 61 31 336