NAV and Portfolio Update
January 05 2009 - 8:04AM
UK Regulatory
RNS Number : 1059L
New Star Financial Opp Fd Ltd
05 January 2009
The Directors of New Star Financial Opportunities Fund Limited today announce that the unaudited Net Asset Value per Ordinary Share
based on bid prices (excluding income from 1 December 2008) as at 31 December 2008 was 36.51 pence (including income it was 35.68 pence).
The Company had total assets of �20.549 million and net current liabilities of �6.625 million as at 31 December 2008.
Largest Holdings
Holding Stock Value (�) % of Fund
1,000,000 Santander International 956,059 4.7%
3.375% Bond
8,000 Munich Re 846,135 4.1%
120,000 HSBC Holdings 794,400 3.9%
350,000 Personal Group Holdings 752,500 3.7%
750,000 Brit Insurance 8.5% ULS 742,500 3.6%
750,000 Investec Finance 7.75% Bond 628,275 3.1%
150,000 Aviva 585,000 2.8%
180,000 DnB NOR 478,284 2.3%
70,000 Banco Santander 456,132 2.2%
3,000 Zurich Financial Services 444,619 2.2%
550,000 SVG Capital 8.25% CULS 436,315 2.1%
300,000 RSA Insurance 414,300 2.0%
500,000 Intesa Sanpaolo 6.625% Bond 402,359 2.0%
250,000 Hansard Global 395,000 1.9%
300,000 Randall & Quilter 390,000 1.9%
25,000 Axa 382,728 1.9%
12,750 BNP Paribas 371,153 1.8%
550,000 F&C Asset Management 6.75% 350,295 1.7%
Sub Bond
450,000 Legal & General 345,600 1.7%
40,000 BBVA 334,896 1.6%
300,000 Barclays 14.0% RCI 317,460 1.5%
450,000 Generali Finance 6.214% Bond 304,965 1.5%
125,000 Intesa Sanapaolo 297,892 1.4%
500,000 BNP Paribas 4 7/8% Bond 291,294 1.4%
250,000 Alliance & Leicester 9.625% 285,250 1.4%
Bond
300,000 RSA Insurance 7.375% Pref 285,000 1.4%
600,000 Argon 8.162% Bond 283,320 1.4%
350,000 Nordea 6.25% Sub Bond 282,765 1.4%
200,000 International Personal 278,000 1.4%
Finance
350,000 Standard Chartered 8.103% 276,325 1.3%
Sub Bond
Derivatives
The Company has short positions equivalent to -9.2% of total assets
Asset Allocation
Fixed Interest 40.3%
Banks 19.2%
General Financial 8.1%
Insurance 7.2%
Investment Companies 3.1%
Life Assurance 2.6%
Real Estate 0.0%
Equities 59.7%
Banks 22.0%
Insurance 19.3%
Life Assurance 7.2%
General Financial 6.7%
Investment Companies 2.9%
Real Estate 1.7%
The Company has 38,132,932 Ordinary Shares in issue.
Enquiries to: Elysium Fund Management Limited
No 1 Le Truchot
St Peter Port
Guernsey GY1 3JX
www.elysiumfundman.com
This information is provided by RNS
The company news service from the London Stock Exchange
END
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