Interim Management Statement

RNS Number : 7817P
RCM Technology Trust PLC
04 October 2013
 



RCM Technology Trust PLC              

 

 

Interim Management Statement

For the quarter ended 31 August 2013

 

This interim management statement relates to the quarter from 1 June 2013 to 31 August 2013 and contains information for that period unless otherwise stated. This statement is produced to provide information in accordance with the UK Listing Authority's Disclosure and Transparency Rules.

 

 

Investment policy and benchmark

 

The Company invests principally in the equity securities of quoted technology companies on a worldwide basis with the aim of achieving long-term capital growth.  The Company's benchmark is the Dow Jones World Technology Index (sterling adjusted total return).

 

 

Portfolio

 

Top ten holdings at 31 August 2013 and percentage of total gross assets:

 

£  

%

Google

7,003,633

5.54

Facebook

6,196,068

4.91

Tesla Motors

5,662,554

4.48

Sunpower

4,305,629

3.41

Amazon

3,597,289

2.85

Aruba Networks

3,592,721

2.84

Micron Technology

3,585,217

2.84

Western Digital

3,308,284

2.62

Pandora Media

3,142,220

2.49

Alcatel-Lucent

2,670,255

2.11

Top ten holdings

 

 

     

£43,063,870





Total gross assets

£126,312,964

 

 

Material events and transactions in the period and since 31 August 2013

 

40,327 shares were purchased for holding in treasury in the period and therefore the share capital at the end of the period was 25,349,941 Ordinary Shares, with a further 2,952,939 Ordinary Shares held in treasury. Since the period end no further shares have been purchased for holding in treasury.

 

Robert Jeens was appointed to the Board as Deputy Chairman on 1 August 2013.   

 

 

 



 

 

 

 

Financial Performance to 31 August 2013




% change





3m

6m

1yr

3yrs

5yrs


Share price

16.19

34.03

45.87

73.59

102.93


Net Asset Value            

6.27

17.87

31.84

55.44

93.05


Benchmark*

-1.73

4.27

10.60

46.07

61.88


 

* Dow Jones World Technology Index (sterling adjusted total return)

Source: Datastream

RCM were appointed as managers on 1 May 2007.

 

 

Financial position at 31 August and 2 October 2013

 



31 August


2 October

Total gross assets


£126,312,964


£137,711,216

Net assets


£120,735,382


£130,540,892

Share price


468.25p


490.00p

Net asset value (undiluted)1


476.27p


514.96p

Net asset value (diluted) 1


475.44p


512.35p

Discount 2


1.68%


0.51%






 

Net asset values per ordinary share are calculated and announced daily, and the diluted NAV takes account of shares held in treasury.

2 The discount is the difference between the share price and the NAV per share (undiluted) expressed as a percentage of the NAV per share.

 

 

Company Information

 

Launch date


1995

EPIC


RTT

Year end


30 November

Report and Accounts


Final posted late February / early March, half-yearly posted July

AGM


March / April

Price Information


Financial Times, The Daily Telegraph



www.rcmtechnologytrust.co.uk

 

Investor information

 

Further up to date information, including Net Asset Values and share prices, and the latest available factsheets and portfolio information, is provided on the Manager's website, which can be accessed at www.rcmtechnologytrust.co.uk  or at www.allianzgi.co.uk .  Information can also be obtained from the Investor Services' helpline on 0800 389 4696.

 

By order of the Board.

RCM Technology Trust PLC

 

155 Bishopsgate

London EC2M 3AD

 

4 October 2013


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