Quarterly Portfolio Update & Net Asset Valu...
CAPITAL GEARING TRUST P.L.C (the "Company")
Quarterly Portfolio Update & Net Asset Value(s)
The Company announces that as at the close of business on 5 October 2011, the
unaudited net asset value per ordinary share, valued on a `bid price' basis
was:
Capital only net asset value - 2,817.97p
Net asset value including income - 2,833.27p
In accordance with Listing Rule 15.6.8, the Company also announces that as at 5
October 2011 it had the following investments in other listed closed-ended
investment funds, which do not have a stated investment policy to invest no
more than 15% of their total assets in other listed closed-ended investment
funds:
Name Percentage of
portfolio
Utilico Finance Zero Div Pref 2012 2.21%
London & St Lawrence Investment Company 0.90%
Utilico Finance Zero Div Pref 2016 0.82%
Advance Developing Markets Subscription Shares 0.46%
Miton Worldwide Investment Trust 0.42%
Utilico 0.26%
Hansa Trust A Non-Voting 0.24%
Total 5.31%
The Company also announces that as at 5 October 2011 the ten largest
investments were as follows:
Name Percentage of
portfolio
USA Treasury 1.75% Index Linked Bonds 2028 5.79%
USA Treasury 2.0% Index Linked Bonds 2026 5.36%
Switzerland (Govt of) 3.0% Bonds 2018 4.91%
Sweden (Kingdom of) 3.5% Index Linked Bonds 2028 4.91%
Treasury 1.25% Index Linked 2017 4.56%
Germany (Fed Rep) 4.75% Bonds 2028 4.09%
USA Treasury 1.375% Index Linked Bonds 2018 4.03%
Germany (Fed Rep) 4.0% Bonds 2037 3.93%
Treasury 1.25% Index Linked 2027 3.79%
Germany (Fed Rep) 1.75% Index Linked 2020 3.65%
Total 45.02%
There were no additional investments with a value greater than 5% of the
Company's portfolio.
It should be noted that the above percentages are calculated using `bid
prices'.
Enquiries:
Keith Hawkins, TMF Corporate Secretarial Services Limited
Email: company.secretary@capitalgearingtrust.com
Date: 7 October 2011
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