Interim Management Statement
18 Novembro 2008 - 10:40AM
UK Regulatory
RNS Number : 3894I
New Star RBC Hedge250 IDX (1X GBP)
18 November 2008
HEDGE ETS
New Star RBC Hedge 250 Index Exchange Traded Securities
PCC Limited
(A closed-ended investment company incorporated in Guernsey with registered number 45501 under the provisions of The Companies
(Guernsey) Laws 1994 to 1996 and The Protected Cell Companies Ordinance 1997 to 1998, as amended)
Interim Management Statement for the quarter ended 30 September 2008
Investment Objective
The objective of New Star RBC Hedge 250 Index Exchange Traded Securities PCC Limited ("Hedge ETS" or the "Company") is to provide access
to performance representative of the hedge fund asset class. The investment policy of the company is to provide access to such performance
through investment exposure to the RBC Hedge 250 Index (the "Index").
The 1X Cell seeks to achieve its investment objective by entering into a swap agreement with Royal Bank of Canada designed to provide
unleveraged exposure to the performance of the Index.
The 3X Cell seeks to achieve its investment objective by entering into a swap agreement with Royal Bank of Canada designed to provide
approximately three times' exposure to the performance of the Index.
Fund size
At 30 September 2008 the Company had total assets of US$116.7m (30 June 2008: US$241.6m).
Performance
1X 3X
$ EUR � $ EUR �
Net Asset Value per share at 1.0543 1.0464 1.0538 1.1485 1.1370 1.1464
30 June 2008
Net Asset Value per share at 0.8650 0.8573 0.8738 0.5318 0.5187 0.5352
30 September 2008 *
% decrease -18.0% -18.1% -17.1% -53.7% -54.4% -53.3%
Share price at 30 June 2008 1.0200 1.0200 1.0400 0.9450 0.9400 0.9600
Share price at 30 September 0.9100 0.9000 0.9275 0.6725 0.6600 0.6750
2008
% decrease - 10.8% - 10.8% - 10.8% - 28.8% - 29.8% -29.7%
* Based on the unaudited net assets of the Company at 30 September 2008.
Composition of RBC Hedge 250 Index
Strategy Strategy weight No of funds Quarterly return
Equity long / short 36.36% 90 -10.41%
Multi-strategy 17.57% 42 -17.66%
Credit 13.15% 33 -14.75%
Merger & special situations 10.87% 28 -12.11%
Macro 8.16% 20 -10.54%
Managed futures 5.95% 16 -2.66%
Fixed income arbitrage 3.50% 11 -5.27%
Equity market neutral 2.36% 6 -5.94%
Convertible arbitrage 2.07% 9 -23.74%
Total 100.00% 255 -12.26%
Source: RBC Capital markets, data at 30 September 2008, sourced on 17 November 2008.
Share Capital
There have been the following changes to the issued share capital during the quarter ended 30 September 2009.
No of shares No of shares
Total shares in issue at 30 June 2008 191,935,272
Net reduction in shares as a result of - 456,155
conversions between share classes
Shares redeemed following the 30 June 2008 - 49,726,739
redemption day
Shares repurchased in the quarter - 15,996,504
Total shares in issue at 30 September 2008 125,755,874
The net cash outflow from changes to the issued share capital in the quarter to 30 September 2008 was US$72.9m (excluding costs).
Annual General Meeting
The Company held its Annual General Meeting on 13 November 2008. All of the resolutions proposed at the meeting, including the renewal
of the share buy back authority, were duly passed.
Company Information
Further Information on the Company, including fact sheets and the annual report of the Company can be obtained from the Manager's
website at www.newstaram.com
For further information please contact:
Alex Duncan, New Star Asset Management Limited Tel: + 44 (0)20 7225 9290
Alison Bilham, HSBC Securities Services (Guernsey) Tel: + 44 (0)1481 707213
Limited
This information is provided by RNS
The company news service from the London Stock Exchange
END
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