RCM Technology Trust PLC
Interim Management Statement
For the quarter ended 31 August 2010
This interim management statement relates to the quarter from 1 June 2010 to 31 August 2010 and contains information for that period unless otherwise stated. This statement is produced to provide information in accordance with the UK Listing Authority's Disclosure and Transparency Rules.
Investment policy and benchmark
The Company invests principally in the equity securities of quoted technology companies on a worldwide basis with the aim of achieving long-term capital growth. The Company's benchmark is the Dow Jones World Technology Index (sterling total return).
Portfolio
Top ten holdings at 31 August 2010 and percentage of total gross assets:
£ |
% |
||
Apple |
3,764,544 |
5.34 |
|
Netflix |
3,437,505 |
4.88 |
|
US Treasury Bill 0% 2010 |
3,415,540 |
4.85 |
|
Cisco Systems |
3,188,298 |
4.52 |
|
Salesforce.com |
3,077,770 |
4.37 |
|
Riverbed Technology |
2,935,965 |
4.17 |
|
Amazon |
2,695,998 |
3.83 |
|
|
2,468,280 |
3.50 |
|
Citrix Systems |
2,223,844 |
3.16 |
|
Baidu.com |
1,990,222 |
2.82 |
|
|
|
|
|
|
|
|
|
Total gross assets |
£70,462,962 |
||
Material events and transactions in the period
No shares were purchased for cancellation in the period and therefore the share capital at the beginning and end of the period was 22,658,090 Ordinary Shares, with a further Ordinary Shares held in treasury, and 4,720,287 Subscription Shares.
Material events and transactions since 31 August
There have been no material events or transactions since the period end.
Financial Performance to 31 August 2010
|
|
|
% change |
|
|
|
||
|
3m |
6m |
1yr |
3yrs |
5yrs |
|
||
Share price |
-4.9 |
2.0 |
22.3 |
17.0 |
30.6 |
|
||
Net Asset Value |
-5.7 |
3.6 |
25.1 |
22.8 |
31.5 |
|
||
Benchmark* |
-10.9 |
-7.1 |
9.1 |
7.8 |
25.9 |
|
||
* Dow Jones World Technology Index (sterling total return)
Source: Datastream
RCM were appointed as managers on 1 May 2007.
Financial position at 31 August and 14 October 2010
|
|
31 August |
|
14 October |
Total gross assets |
|
£70,462,962 |
|
£77,204,159 |
Net assets |
|
£69,441,650 |
|
£76,061,453 |
Share price |
|
269.8p |
|
302.5p |
Net asset value (undiluted)1 |
|
306.5p |
|
335.7p |
Net asset value (diluted) 1 |
|
298.7p |
|
323.2p |
Discount 2 |
|
12% |
|
10% |
|
|
|
|
|
1 Net asset values per ordinary share are calculated and announced daily.
2 The discount is the difference between the share price and the NAV per share (undiluted) expressed as a percentage of the NAV per share.
Company Information
Launch date |
|
1995 |
EPIC |
|
RTT |
Year end |
|
30 November |
Report and Accounts |
|
Final posted February, half-yearly posted July |
AGM |
|
March |
Price Information |
|
Financial Times, The Daily Telegraph |
Investor information
Further up to date information, including Net Asset Values and share prices, and the latest available factsheets and portfolio information, is provided on the Manager's website, which can be accessed at www.rcmtechnologytrust.co.uk or at www.rcm.com/investmenttrusts . Investor services can be contacted on 020 7065 1407 and information can also be obtained from the Manager's helpline on 0800 317 573.
By order of the Board.
RCM Technology Trust PLC
155 Bishopsgate
London EC2M 3AD
15 October 2010