Month End Nav inc. Geo&Ind Brkdwn and Top 10 Hldgs

RNS Number : 5621G
Templeton Emerging Markets IT PLC
07 June 2013
 

                                               

 

 

On behalf of TEMIT, Franklin Templeton Investment Management Limited reports the unaudited net asset value

("NAV") of TEMIT Shares at 31st May 2013 as follows:

 

 

NAV

675.0 pence (Cum-Income)

NAV

662.1 pence (Ex-Income)

 

FINANCIAL PERFORMANCE

Performance to 31 May  2013

 

 

Share price

annualised

Net asset value

annualised

MSCI Emerging Market Index

annualised

 

3 Months

%

 

-7.4

 

-6.3

 

-3.3

 

1 Year

%

 

+18.7

 

+19.2

 

+16.2

 

3 Years

%

 

+18.0

+5.7

+20.7

+6.5

+13.3

+4.3

 

5 Years

%

 

+43.9

+7.6

+41.9

+7.3

+24.6

+4.5

 

10 Years

%

 

+501.4

+19.7

+445.8

+18.5

+352.7

+16.3

 

 

 

 

 

 

 

Share price

Net asset value

MSCI Emerging Market Index

 

   Year to

31

May       2013

%

+18.7

+19.2

+16.2

 

   Year to

 31

 May   

 2012

%

 -18.0

 -15.8

 -14.5

 

    Year to

31

May              2011

%

 +21.4

 +20.3

 +14.0

 

   Year to

31

May    2010

%

 +45.0

 +44.9

 +36.2

 

  Year to               

 31

      May

      2009

%

 -15.9

 -18.9

 -19.3

 

 

 

 

All figures in the performance table are calculated in Sterling on a total return basis i.e. with net dividends reinvested.

Source: Franklin Templeton Investments / Copyright - © 2012 Morningstar, Inc.  All rights reserved.



 

 

 

 TEMIT's investment in emerging markets was:

 


% of total assets

LATIN AMERICA


Brazil

13.9

Mexico

2.1

Peru

1.9

 

 

 

 

ASIA

 

Hong Kong / China

26.8

Thailand

14.0

India

9.5

Indonesia

8.3

South Korea

4.3

Pakistan

3.0

 


MIDDLE EAST


Jordan

0.1

 

 

EUROPE

 

Turkey

6.6

Russia

3.6

Austria

1.1

Hungary

0.9

Poland

0.2

 

 

AFRICA

 

South Africa

1.8

 

 

TEMIT's other current assets

1.9

 

 

 

100.0

 


As at 31st May 2013 TEMIT did not have any holdings in other Investment Companies.

 


Date: 7th June 2013


 

 The securities used to calculate the above NAV have been valued on a bid basis - the valuation of the assets is as

 at each local market close or, where appropriate, adjusted for changes in the fair value of these assets at US close.

 

 



 

 

 

 

 

 

On behalf of TEMIT, Franklin Templeton Investment Management Limited reports as at 31st May 2013,

TEMIT's investment by industry class was:

 

Sector

% of  total assets



Financials

30.4

Energy

19.9

Consumer Discretionary

16.2

Materials

12.0

Information Technology

9.3

Consumer Staples

7.6

Industrials

2.7

 


TEMIT's other current assets

1.9

 


 

100.0

 


 


Date: 7th June 2013




 

  The securities used to calculate the above NAV and industry percentages have been valued on a bid basis - the

  valuation of the assets is as at each local market close or, where appropriate, adjusted for changes in the fair  

  value of these assets at US close.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

On behalf of TEMIT, Franklin Templeton Investment Management Limited reports the top ten holdings in TEMIT as at 31st May 2013 as follows:

 

 

Country

Security

Industry

% of total net assets

Hong Kong / China

Brilliance China Automotive Holdings Ltd.

Consumer Discretionary

9.1

Hong Kong / China

Dairy Farm International Holdings Ltd.

Consumer Staples

4.8

India

Tata Consultancy Services Ltd.

Information Technology

4.7

Brazil

Banco Bradesco SA, ADR, pfd.

Financials

4.6

Thailand

Siam Commercial Bank PCL, fgn.

Financials

4.3

Turkey

Akbank TAS

Financials

4.2

Brazil

Itau Unibanco Holding SA, ADR

Financials

4.2

Indonesia

PT Astra International Tbk

Consumer Discretionary

4.1

Hong Kong / China

VTech Holdings Ltd.

Information Technology

3.6

Brazil

Vale SA, ADR, pfd., A

Materials

3.3




46.9





 

 

For further information please contact Client Dealer Services at Franklin Templeton Investment Management Limited on free phone 0800 305 306 or +44 (0) 20 7073 8690 for overseas investors.

 

 

Date: 7th June 2013

 

End of Announcement.


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