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Interim Management Statement

4 Dec 2015 09:00

LONDON & ST LAWRENCE INVESTMENT COMPANY PLC - Interim Management Statement

LONDON & ST LAWRENCE INVESTMENT COMPANY PLC - Interim Management Statement

PR Newswire

London, December 3

LONDON & ST LAWRENCE INVESTMENT COMPANY PLC

INTERIM MANAGEMENT STATEMENT

For the period from 1 September 2015 to 30 November 2015

During the 3 months since the 31 August 2015, the NAV per ordinary 5p share has risen from 362.97p (31 August 2015) to 365.62p (30 November 2015), an increase of 0.7%. Over the same period the FTSE All Share Index rose from 3434.66 to 3492.13 an increase of 1.7%. The share price(bid) as at 31 August 2015 was 358.75p and at 30 November 2015 it was 348.0p, a decrease of 2.99%. At the 30 N0vember 2015 the Ordinary Shares stood at a discount of 4.8% .

The top 10 holdings as at 30 November 2015 were:

Market Value of Holding £’000 % of Portfolio Country Description
Consistent Unit Trust12,57711.6UKUnit Trust
Aberforth Geared Income5,3535.0UKInvestment Trust
Edinburgh Investment Trust5,0304.7UKInvestment Trust
City of London Investment Trust3,9763.8UKInvestment Trust
Merchants Trust3,7193.5UKInvestment Trust
Blackrock Income Strategies3,7113.5UKInvestment Trust
Law Debenture3,4423.2UKInvestment Trust
Mercantile Trust3,0022.8UKInvestment Trust
TR Property2,9742.8UKInvestment Trust
Dunedin Income Growth2,9712.8UKInvestment Trust

END

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