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M&G Income Inv. Co (MIV)

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Thursday 01 May, 2008

M&G Income Inv. Co

Portfolio Update


M&G Income Investment Company Limited.

Investment Companies' disclosure

M&G Income Investment Company Limited announces today that as at 30 April 2008
the Company's top ten holdings were:

BP                                            7.44%
                                                   
Royal Dutch Shell 'B'                         7.22%
                                                   
Treasury 4% 2009                              6.77%
                                                   
HSBC Holdings                                 5.93%
                                                   
Vodafone Group                                5.21%
                                                   
GlaxoSmithKline                               4.78%
                                                   
M&G High Yield Corporate Bond Fund            3.30%
Sterling Class 'X'                                 
                                                   
Unilever                                      3.16%
                                                   
British American Tobacco                      2.58%
                                                   
AstraZeneca                                   1.96%
                                                   


                                                                                                                                                                                                                                        

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