Atnaujinta: 2024.07.04 04:02 (GMT+3)

BKF: Investment report 06/99

1999.07.06, , TLN
BALTI KASVUFOND
INVESTMENT REPORT
30.06.99

in EEK

INVESTMENT REPORT


Number Market Value Interest Share
Deposit 4,990,736.05 3.00% 26.98%
Tallinn City Eurobond 80 1,267,879.12 6.69% 6.85%
Hansapank share 15,000 1,087,500.00 5.88%
Pankade Kaardikeskus bond 1,000 1,040,462.43 10.00% 5.62%
Amserv Grupi share 97,032 970,320.00 5.24%
Vilniaus Banka share 8,000 815,841.83 4.41%
Baltika share 59,000 814,200.00 4.40%
Austrian Government bond 4,649,580 786,754.73 7.00% 4.25%
European Investment Bank bond 55 701,714.33 7.00% 3.79%
Pärnu commercial paper 7 695,193.00 5.10% 3.76%
Swedbank commercial paper 69 678,411.82 5.78% 3.67%
Kunda Nordic commercial paper 7 655,888.40 8.41% 3.55%
Viisnurk share 33,670 622,895.00 3.37%
Ventspils Nafta share 43,166 609,513.21 3.29%
Ühispank share 20,000 524,000.00 2.83%
Hüvitusfond 13 3,999 392,557.57 7.00% 2.12%
Hüvitusfond 9 3,766 377,729.80 11.00% 2.04%
Tallinna Kaubamaja commercial paper 35 342,222.35 6.90% 1.85%
Privatization Vouchers 1,000,000 310,000.00 1.68%
Eesti Telekom share 3,000 300,750.00 1.63%
Reval Hotelligrupp share 10,054 282,517.40 1.53%
Võru Juust share 9,800 137,200.00 0.74%
Eesti Näitused share 10,666 95,994.00 0.52%

Total 18,500,281.04 100.00%

Units issued in 1999 20 542 2,730,665.91
Units returned in 1999 16 344 2,127,442.73

Number of issued and unreturned
units as of 30.06.99. 140,410

Liabilities 66,826.68

Net asset value 131.28


Mihkel Õim
Fund Manager
372 6131 336

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