Pēd. atjaunots: 28.11.2024 04:25 (GMT+2)
BALTI KASVUFOND
REPORT
INVESTMENT REPORT 31.10.2001
Assets Number Market value Interest Share
Cash account 2,126,736.73 4.51%
Deposit Swedbank 1,028,516.67 2.18%
Baltika share 41,500 1,307,250.00 2.77%
Hansapank share 32,920 4,526,500.00 9.60%
Viisnurk share 60,670 2,608,810.00 5.53%
Eesti Telekom share 78,800 4,334,000.00 9.19%
Privatization Vouchers 1,400,000 817,600.00 1.73%
Harju Elekter share 62,490 1,568,499.00 3.33%
Norma share 94,000 4,606,000.00 9.77%
Tallinna Kaubamaja share 5,000 318,750.00 0.68%
Merko share 24,000 900,000.00 1.91%
Rokiskio Suris share 10,000 1,260,437.26 2.67%
Lietuvos Telekomas share 435,000 2,388,777.23 5.07%
Staburadze share 5,000 29,287.18 0.06%
Ventspils Nafta share 20,000 407,231.23 0.86%
Olvi OY share 2,950 830,836.58 1.76%
Elcoteq share 6,000 633,688.92 1.34%
SEB share 8,000 1,064,566.04 2.26%
TLN.Kaubamaja CP 07.12.2001 150 1,489,452.23 7.18% 3.16%
Eesti Ühispank FRN bond 12.03.2002 1 1,580,764.24 8.16% 3.35%
Tartu Linn CP 03.04.2002 19 185,352.29 5.90% 0.39%
Hüvitusfond 17 20.11.2002 19,150 2,085,435.00 7.00% 4.42%
Microlink Bond 10.01.2003 100 1,069,813.27 8.35% 2.27%
Tallinn City Eurobond 23.04.2004 80 696,324.69 6.36% 1.48%
Eesti Energia FRN 23.08.2004 180 2,850,896.04 6.36% 6.05%
Sampo Liising CP 19.11.2001 30 299,147.43 5.70% 0.63%
Nordbanken Hypothek bond 08.12.2004 2 2,134,078.39 7.50% 4.53%
SEB Bond 19.01.2004 200 2,103,041.34 6.60% 4.46%
Lietuvos Telekomas bond 19.03.2004 190 871,454.57 10.15% 1.85%
Elcoteq Network Corp. bond 25.10.2002 100 1,023,357.88 5.88% 2.17%
Swap at Hansapank -10,486.83 -0.02%
Kokku 47,136,117.38 100%
Number of units issued in 2001 102,935 18,179,235.51
Number of units redeemed in 2001 51,389 9,023,458.10
Number of units issued and
outstanding as of 31.10.2001 274,060
Liabilities 97,787.06
Net Asset Value 171.64
Peep Kuld
Fund Manager
+372 613 3859