Portfolio Update
04 Abril 2012 - 7:48AM
UK Regulatory
TIDMBPO
British Portfolio Trust plc
Fund Information Update
Net Asset Value (capital only) 141.73p
Net Asset Value (including income)* 143.04p
Share Price 131.00p
Gearing (including income)*** 4.6%
Net Yield 3.1%
Discount to NAV (including income) 8.4%
Total Assets (including current year
revenue) GBP40.6m
Issued Capital - Ordinary Shares** 28,379,268
* Includes net revenue of 1.31p
** Excludes 4,554,664 shares held in Treasury
*** Gearing is calculated using debt at par, less cash
and cash equivalents as a percentage of net assets.
Ten largest investments (as at 20.03.2012)
% of portfolio
Royal Dutch Shell `B' Shares 8.9
Vodafone Group 8.6
HSBC Holdings 6.1
Tullow Oil 5.0
GlaxoSmithKline 4.9
Centrica plc 4.3
Antofagasta 4.0
UBM plc 3.6
3I Infrastructure 3.1
Imperial Tobacco 3.1
Sector Analysis (as at 30.03.2012)
% of total assets
Oil & Gas Producers 15.37
Banks 10.61
Pharmaceuticals & Biotechnology 9.85
Mobile Telecommunications 8.59
Media 6.35
Tobacco 6.05
Gas, Water & Multi-utilities 4.31
Mining 3.95
General Retailers 3.90
Non-life Insurance 3.68
Software & Computer Services 3.62
Equity Investment Instruments 3.09
Food Producers 3.06
Support Services 2.42
Industrial Engineering 2.23
Aerospace & Defence 2.20
Electronic & Electrical Equipment 2.02
Life Insurance 1.98
Financial Services 1.63
Real Estate Investment & Services 1.55
Oil Equipment, Services & Distribution 1.52
Chemicals 1.02
Technology Hardware & Equipment 0.97
Net Current Assets 0.03
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TOTAL 100.00
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Enquiries:
Simon White
BlackRock Investment Management (UK) Limited
Telephone: 020 7743 3000
Date: 4 April 2012
END
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