Pēd. atjaunots: 27.11.2024 02:15 (GMT+2)

Balti Kasvufond: investment report 31.03.2001

09.04.2001, , TLN
BALTI KASVUFOND
REPORT

INVESTMENT REPORT 31.03.2001

Assets Number Market value Interest Share
Cash account 1,565,873.56 3.78%
Baltika share 32,500 1,166,750.00 2.82%
Hansapank share 30,000 4,003,200.00 9.66%
Viisnurk share 48,670 2,190,150.00 5.29%
Eesti Telekom share 46,300 3,159,975.00 7.63%
Privatization Vouchers 1,600,000 1,000,000.00 2.41%
Harju Elekter share 52,490 2,041,861.00 4.93%
Norma share 70,000 3,255,000.00 7.86%
Saku Õlletehas share 28,000 1,820,000.00 4.39%
Tallinna Kaubamaja share 5,000 327,500.00 0.79%
Merko share 2,000 81,000.00 0.20%
Rokiskio Suris share 10,000 835,408.08 2.02%
Lietuvos Telekomas share 235,000 2,004,979.39 4.84%
Ragutis PV share 11,000 391,042.08 0.94%
Staburadze share 5,000 94,066.66 0.23%
Ventspils Nafta share 20,000 365,034.80 0.88%
SEB share 2,000 314,485.44 0.76%
City of Tartu cp 04.04.2001 100 999,350.42 5.85% 2.41%
ESS Bond 12.07.2001 102 1,102,157.86 6.50% 2.66%
TLN.Kaubamaja cp 07.12.2001 150 1,429,422.56 7.18% 3.45%
Eesti Ühispank FRN bond 12.03.2002 1 1,570,818.40 8.16% 3.79%
Hüvitusfond 17 20.11.2002. 19,150 1,962,875.00 7.00% 4.74%
Microlink Bond 10.01.2003 100 1,020,691.19 8.35% 2.46%
Tallinn City Eurobond 23.04.2004 80 1,002,852.58 6.90% 2.42%
Eesti Energia FRN 23.08.2004. 180 2,835,983.39 6.59% 6.85%
Nordbanken Hypothek bond 08.12.2004. 2 2,045,509.58 7.50% 4.94%
Skandinaviska Ensk. Banken Bond 19.01.20 4,200 2,025,718.07 6.60% 4.89%
Lietuvos Telekomas bond 19.03.2004. 190 846,900.54 10.15% 2.04%
Swap at Hansapank -27,611.67 -0.07%
Total 41,430,993.93 100%

Number of units issued in 2001 35,425 6 364 572,08
Number of units redeemed in 2001 18,583 3 342 034,07

Number of units issued and
outstanding as of 31.03.2001. 239,356

Liabilities 194,084.72

Net Asset Value 172.28


Mihkel Õim
Fund Manager
+372 613 1336

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