Portfolio Holdings as at 31 May 2026

Summary by AI BETAClose X

Global Opportunities Trust plc reported net assets of £118.2 million as of May 31, 2026. The portfolio's largest holding was US T-Bill 3 Sep 26 at 12.4% of net assets, followed by AVI Japan Discovery Fund at 7.1% and Volunteer Park Capital Fund SCSp at 5.5%. The company's investments were distributed with 25.0% in Europe ex UK, 12.4% in Fixed Income, and 36.3% in liquidity funds, cash, and other net assets. Sector-wise, Financials represented 14.4% of net assets, with Consumer Staples at 9.8% and Health Care at 9.0%.

Disclaimer*

Global Opportunities Trust plc (`the Company')

Legal Entity Identifier: 2138005T5CT5ITZ7ZX58

 

 

Monthly Portfolio Update

 

As at 31 May 2026, the Net Assets of the Company were £118.2m.

 

Portfolio Holdings as at 31 May 2026

 

Rank

Company

Sector

Country of   Incorporation

% of Net Assets

 

1

US T-Bill 3 Sep 26

Fixed Income

United States

12.4

2

AVI Japan Discovery Fund*

Financials

Cayman

7.1

3

Volunteer Park Capital Fund SCSp**

Financials

Luxembourg

5.5

4

Orange

Communication Services

France

2.5

5

Verizon Communications

Communication Services

United States

2.5

6

Unilever

Consumer Staples

United Kingdom

2.4

7

Cicor Technologies

Information Technology

Switzerland

2.2

8

Carlsberg

Consumer Staples

Denmark

2.1

9

Diageo

Consumer Staples

United Kingdom

1.8

10

Nestle

Consumer Staples

Switzerland

1.8

11

GQG Partners Inc.

Financials

United States

1.8

12

Sanofi

Health Care

France

1.8

13

Dassault Aviation

Industrials

France

1.7

14

Philips

Health Care

Netherlands

1.7

15

Qinetiq

Industrials

United Kingdom

1.7

16

Bakkafrost

Consumer Staples

Denmark

1.7

17

ENI

Energy

Italy

1.6

18

General Dynamics

Industrials

United States

1.6

19

Laboratorios Farmaceutico

Health Care

Spain

1.5

20

Terveystalo

Health Care

Finland

1.5

21

TotalEnergies

Energy

France

1.4

22

Bonesupport Holding

Health Care

Sweden

1.3

23

RaySearch Laboratories

Health Care

Sweden

1.2

24

Alibaba Group

Consumer Discretionary

Hong Kong

1.1

25

Origin Enterprises

Materials

Ireland

1.0

26

Jet2

Industrials

United Kingdom

0.8

 

 

Total equity and bond investments

63.7

 

 

Stock index futures - short

(6.7)

 

 

Cash and other net assets

43.0

 

 

Net assets

100.0

 

* Participating Shares of CV5 SPC

**Luxembourg Special Limited Partnership

 

 

 

Geographical Distribution as at 31 May 2026

 

 

% of Net Assets

Europe ex UK

25.0

Americas: Direct equities

5.9

Americas: Private Equity Fund

5.5

Japan

7.1

United Kingdom

6.7

Asia Pacific ex Japan

1.1

Fixed Income

12.4

Liquidity funds, cash and other net assets

36.3

 

100.0

 

 

 

Sector Distribution as at 31 May 2026

 

 

% of Net Assets

Financials: Japan Fund

7.1

Financials: Private Equity Fund

5.5

Financials: Direct Equities

1.8

Total Financials

14.4

Consumer Staples

9.8

Health Care  

9.0

Industrials  

5.8

Communication Services

5.0

Energy

3.0

Information Technology

2.2

Consumer Discretionary

1.1

Materials

1.0

Fixed Income

12.4

Liquidity funds, cash and other net assets

36.3

 

100.0

 

 

The geographical distribution is based on each investment's principal stock exchange listing or domicile, except in instances where this would not give a proper indication of where its activities predominate.

 

The portfolio holdings and distribution of assets can also be viewed on the Company's website at   globalopportunitiestrust.com

 

 

For further information please contact:

 

Juniper Partners Limited

Company Secretary

Telephone:   0131 378 0500

 

10 June 2026




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