JPMorgan American Investment Trust plc
Interim Management Statement (unaudited)
For the three months ended 31st March 2012
This interim management statement relates to the quarter from 1st January 2012 to 31st March 2012 and contains information that covers that period, unless otherwise stated.
Financial performance - Cumulative Total Return *
|
1 month |
3 months |
1 Year |
3 Years |
5 Years |
10 Years |
Share price |
1.8% |
10.6% |
7.6% |
67.7% |
55.9% |
34.9% |
Net asset value |
2.9% |
9.6% |
6.1% |
65.1% |
41.9% |
34.9% |
Benchmark |
3.2% |
9.4% |
8.5% |
67.1% |
33.4% |
28.8% |
* total return with net dividends reinvested
Source: JPMAM/Morningstar
Financial position
|
As at 14th May 2012 |
As at 31st March 2012
|
31st December 2011 |
Total assets |
£469.0m |
£501.2m |
£450.4m |
Share price |
887.5p |
950.0p |
859.0p |
Net asset value |
852.6p |
937.4p |
855.9p |
Premium /Discount (-) |
4.1% |
1.3% |
-0.7% |
Gearing |
96.9% |
97.2% |
97% |
Share prices shown are closing bid
Net asset values are shown with debt at fair value
Source: JPMAM/Morningstar
Material events
There were no material events during the quarter.
Material events post 31st March 2012
On 4th May 2012, the Board of JPMorgan American Investment Trust plc announced that Hamish Buchan retired as Chairman and non-executive Director and that Sarah Bates assumed the role of chairman with effect from the same date. On 4th May 2012, the Board also announced the appointments of Simon Bragg and Sir Alan Collins as independent non-executive Directors of the Company, with effect from the same date.
At the Annual General Meeting held on 4th May 2012, all resolutions were passed, including the following items of Special Business:
1) will allow the Company to allot new ordinary shares up to an aggregate nominal amount of £1,195,700;
2) will disapply pre-emption rights on the allotment of such new ordinary shares; and
3) will allow the Company to make market purchases of up to 7,169,430 ordinary shares representing 14.99% of the Company's issued share capital.
Material transactions
Changes to share capital:
|
Ordinary Shares of 25p |
Shares in issue as at 1st January 2012 |
46,204,047 |
Shares bought back and cancelled |
- |
Shares issued - new |
1,244,045 |
As at 31st March 2012 |
47,448,092 |
Since the quarter end an additional 380,000 ordinary shares have been issued. Therefore, the number of shares in issue as at the date of this report is 47,828,092.
Portfolio Analyses
Top ten holdings as at 31st March 2012
Stock name |
Sector |
Weight % |
Apple Exxon Mobil Microsoft IBM Berkshire Hathaway Pfizer Qualcomm Merck & Co Philip Morris International Conoco Phillips |
Information Technology Energy Information Technology Information Technology Financials Health Care Information Technology Health Care Consumer Staples Energy |
5.1 4.0 4.0 2.8 2.2 2.2 2.1 2.1 1.9 1.8 |
Sector analysis as at 31st March 2012
Sector |
31st March 2012 % |
31st December 2011 % |
Information Technology Health Care Energy Financials Consumer Discretionary Consumer Staples Industrials Telecommunication Services Materials Utilities Cash |
21.3 14.0 12.3 10.3 9.6 8.5 6.2 3.3 1.2 1.2 12.1 |
19.5 14.2 12.3 9.4 9.2 9.0 6.4 3.6 1.0 1.8 13.6 |
Total |
100.0 |
100.0 |
Asset analysis as at 31st March 2012
|
31st March 2012 % |
Large companies |
84.3 |
Small companies |
3.2 |
Liquidity |
12.1 |
Unrealised hedge value |
0.4 |
Total |
100.0 |
By order of the Board
Alison Vincent, for and on behalf of
JPMorgan Asset Management (UK) Limited, Secretary
18th May 2012
Registered office: Finsbury Dials, 20 Finsbury Street, London, EC2Y 9AQ
Telephone: 020 7742 4000
This interim management statement has been prepared solely to provide information to meet the requirements of the UK Listing Authority's Disclosure and Transparency Rules.
Neither the contents of the Company's website nor the contents of any website accessible from hyperlinks on the Company's website (or any other website) is incorporated into, or forms part of, this announcement.
JPMORGAN ASSET MANAGEMENT (UK) LIMITED
ENDS
Please note that up to date information on the Company, including daily NAV and share prices, factsheets and portfolio information can be found at www.jpmamerican.co.uk.