SMALL COMPANIES DIVIDEND TRUST PLC
The Company announces:
Total Assets (including unaudited revenue reserves at 31 December 2010) of £
22.45m
Net Assets (including unaudited revenue reserves at 31 December 2010) of £
18.00m
The Net Asset Value (NAV) including unaudited current period revenue at 31
December 2010 was:
Per Ordinary share (bid price) 110.76p
Ordinary share price 95.50p
Discount to NAV 13.78%
The Net Asset Value (NAV) excluding current period revenue for the period 1 May
2010 to 31 December 2010 was:
Issued share capital
Per Ordinary share (bid price) 109.94p 16,250,000
Ordinary shares have an undated life
Bank loan £4m
Fair value of interest rate SWAP £453,162
*This NAV has been calculated with debt at fair value.
Top 20 Holdings as at 31 December 2010
Company % of
portfolio
1 Macfarlane Group 4.71
2 Portmerion Group 4.59
3 Sinclair (W) Holdings 4.01
4 S & U 3.45
5 Alumasc Group 3.25
6 Avesco Group 2.99
7 Cineworld Group 2.87
8 Victoria 2.86
9 Trifast 2.77
10 Consort Medical 2.69
11 Stadium Group 2.66
12 Clarke (T) 2.62
13 Chesnara 2.60
14 Sanderson Group 2.38
15 Fiberweb 2.26
16 Marshalls 2.26
17 Office2Office 2.20
18 Arbuthnot Banking 2.15
19 Jarvis Securities 2.14
20 Smiths News 2.09
Balance held in 34 42.45
holdings
100.00
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Obtains access to the information in a personal capacity;
Is not required to be regulated or supervised by a body concerned with the regulation or supervision of investment or financial services;
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Does not distribute, republish or otherwise provide any information or derived works to any third party in any manner or use or process information or derived works for any commercial purposes.
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