Portfolio Update

ACM European Enhanced Inc.Fund PLC 30 July 2004 ACM European Enhanced Income Fund plc Portfolio Classification Report as at June 30th 2004 Top 10 Holdings Report Cusip Security Name Maturity Date Coupon Base Market Value US69364SAD53 PTC INTL FIN II 01 Dec 2009 11.25 1,203,593.19 2.62% XS0078740221 EQUITABLE LIFE FIN 29 Aug 2049 8.00 1,149,450.00 2.50% XS0149161217 RBS CAPITAL TRUST A 29 Dec 2049 1.00 1,105,350.44 2.41% US607054AB95 MOBIFON HLDGS B V 31 Jul 2010 12.50 1,100,082.71 2.40% XS0100116390 PANNON FINANCE BV 03 Aug 2004 7.750 1,088,162.37 2.37% XS0102738035 ROYAL + SUN ALLIANCE GROUP 15 Oct 2019 6.875 1,058,291.87 2.31% XS0178175310 IFCO SYSTEMS N V 15 Oct 2010 10.375 1,056,751.51 2.30% US87258JAB08 TM GROUP HLGDS PLC 15 May 2008 11.00 1,051,215.87 2.29% XS0174102961 FLENDER HOLDING GMBH 01 Aug 2010 11.00 1,043,964.44 2.27% XS0148031064 INEOS GROUP HLDGS 01 Aug 2010 10.5 1,031,385.35 2.25% Gross Asset Value, June 30th 2004 45,890,009.32 This information is provided by RNS The company news service from the London Stock Exchange
UK 100

Latest directors dealings