Merrill Lynch World Mining Tst PLC
11 February 2005
MERRILL LYNCH WORLD MINING TRUST plc
All information is at 31 January 2005 and unaudited.
Performance at month end with net income reinvested
One Three One Three Five
month months year years years
Net asset value (undiluted) 1.1% 6.6% 13.6% 92.0% 136.8%
Net asset value (diluted) 1.0% 5.6% - - -
Share price* 0.2% 9.9% 14.2% 111.6% 154.4%
HSBC Global Mining Index 1.3% 4.8% 13.8% 48.0% 83.6%
Sources: Merrill Lynch Investment Managers, HSBC Global Mining Index,
Datastream
*Performance includes the warrant reinvestment, assuming the bonus warrant
entitlement per share was sold and reinvested on the first day of trading.
At month end
Net asset value
Undiluted: 248.15p Includes net revenue of: 2.87p
Fully diluted: 243.29p
Share price: 218.50p Discount to diluted NAV: 10.2%
Warrant price: 8.75p Net yield: 0.8%
Total assets: £419.2m
Gearing: 5.0%
Ordinary shares in issue: 162,800,000
Warrants in issue: 32,559,564
Sector % Total Assets Country % Total Assets
Analysis Analysis
Diversified 50.4 Latin America 24.2
Base Metals 22.9 Global 20.8
Gold 10.9 Canada 14.8
Silver/Diamonds 5.7 Australasia 12.8
Industrial Minerals 5.5 South Africa 10.7
Platinum 5.2 Europe 4.8
Other 1.0 China 4.1
Net current liabilities (1.6) USA 3.3
Other Africa 2.9
India 2.1
Laos 0.9
Indonesia 0.2
Net current liabilities (1.6)
100.0 100.0
Ten Largest Equity Investments
Company % of Total Assets Region of Risk
CVRD 10.8 Latin America
Rio Tinto 8.4 Global
BHP Billiton 7.1 Global
Minas Buenaventura 5.0 Latin America
Impala Platinum 4.7 South Africa
Falconbridge 4.6 Canada
Alumina 4.2 Australia
Aber Diamond 3.8 Canada
Teck Cominco 3.8 Canada
Xstrata 3.5 Global
Total 55.9
Latest information is available by typing www.mlim.co.uk/its on the internet,
'MLIMINDEX' on Reuters, 'MLIM' on Bloomberg or '8800' on Topic 3 (ICV terminal).
11 February 2005
This information is provided by RNS
The company news service from the London Stock Exchange
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