Interim Management Statement

RNS Number : 1332M
JPMorgan Japanese Inv. Trust PLC
10 August 2011
 



JPMorgan Japanese Investment Trust plc

(the 'Company')

 

Interim Management Statement (unaudited)

 

For the three months ended 30th June 2011

 

 

 

This interim management statement relates to the quarter from 1st April 2011 to

30th June 2011 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

 5.1%

1.0%

14.8%

8.7%

-29.6%

-24.7%

Net asset value

 4.2%

1.4%

9.6%

10.7%

-25.9%

-26.5%

Benchmark

 4.5%

0.2%

5.1%

10.6%

   -5.3%

0.5%

 

* total return with net dividends reinvested

Source: JPMAM/MorningStar

 

Financial position

 


As at 30th June

2011

 

As at 5th August

2011

Total assets

£366.9m

£354.1m

Share price

174.0p

169.8p

Net asset value

201.5p

193.5p

Discount

-13.7%

-12.3%

Gearing

106.5%

105.8%

 

Share prices shown are closing mid

Net asset values are shown excluding income with debt at par value

Source: JPMAM/MorningStar

 

Material events

 

There were no material events during the period.

 

 

 

Material transactions

 

Changes to share capital

 


Ordinary Shares of 25p



Shares in issue as at 1st April 2011

161,318,078

Shares bought back and cancelled

-

Shares issued - new

-

Shares bought back into treasury

-

Shares issued - from treasury

-

As at 30th June 2011

161,318,078

 

Portfolio Analyses

 

Top ten holdings as at 30th June 2011

 

Stock name

Sector

Weight %

 

Nippon Telegraph & Telephone

Information & Communication

5.0

Honda Motor

Transportation Equipment

4.2

 

Mitsubishi UFJ Financial

Banks

3.9

 

Canon

Electric Appliances

3.2

 

Sumitomo Mitsui Financial

Banks

3.1

 

Sumitomo Electric Industries

Non-Ferrous metals

2.6

 

Omron

Electric Appliances

2.5

 

Mitsubishi

Wholesale Trade

2.5

 

Mitsui & Co

Wholesale Trade

2.4

 

Orix

Other Financing Business

2.3

 

 

 

Sector Breakdown as at 30th June 2011

 

Sector

 

Portfolio %

Electric Appliances

13.4

Transportation Equipment

12.7

Information & Communication

10.4

Wholesale Trade

10.1

Machinery

8.0

Banks

7.0

Chemicals

5.5

Services

4.4

Glass & Ceramic Products

4.3

Retail Trade

4.0

Foods

3.5

Other Financing Business

2.7

Non-Ferrous Metals

2.6

Real Estate

2.0

Metal Products

Oil & Coal Products

Construction

Pharmaceutical

Warehousing & Harbour Transport Services

1.9

1.3

1.1

0.4

0.2

Cash

4.5

Total

100.0

 

 

By order of the Board

Chris Cordrey, for and on behalf of

JPMorgan Asset Management (UK) Limited, Secretary

10th August 2011

020 7742 6000

 

Registered office: Finsbury Dials, 20 Finsbury Street, London, EC2Y 9AQ

 

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.

 

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.jpmjapanese.co.uk 

 

 


This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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