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Fund Manager's Q2 2016 Update

3 Aug 2016 09:41

RNS Number : 1143G
Terra Capital PLC
03 August 2016
 

Terra Capital Plc

Fund Manager's Update Regarding Q2 2016

 

Terra Capital Plc ('TCA' or the 'Fund'), the AIM quoted investment trust focused on investing in value opportunities globally, primarily in frontier markets is pleased to report that it has received the latest update from Terra Partners Asset Management Limited ('TPAM' or the 'Fund Manager'), covering its activities for Q2 2016.

 

TCA's non-executive Chairman, Dirk Van den Broeck said "Thanks to another positive quarterly performance, the six month period to 30 June 2016 has seen Terra Capital's NAV grow a further 5.03%, (including the dividend payment in February), which compares favourably to the 0.13% fall in the MSCI Frontier market during the equivalent period. 2016 is so far shaping up to be another year of strong relative outperformance, building on the success we had in 2015 and 2014 in terms of NAV growth, compared to both our peers and the wider index.

 

"Importantly, the returns we are generating are less volatile than, and less correlated with, those of the wider market and our peers. We view this as a product of both the importance we place on risk management as well as our fund manager's tried and tested investment process. This is based on applying forensic financial evaluation techniques and close interaction with management teams to identify and invest in under-researched and under-valued companies across the world."

 

 

The Fund Manager's update covering Q2 2016 is reproduced below:

 

Terra Partners Asset Management Limited

Portomaso Tower, 8/5A

Portomaso Avenue

St. Julian's STJ 4011 MALTA

Telephone +356 2371 7000

Regulated by the Malta Financial Services Authority, Reg. No. C 56353

Registered Investment Adviser with the US Securities & Exchange Commission

 

August 3, 2016

 

Terra Partners Asset Management Limited ('TPAM' or the 'Fund Manager') presents its Second Quarter 2016 Update to shareholders regarding the activities of Terra Capital Plc. ('TCA' or the 'Fund'), an AIM quoted investment trust investing globally in value opportunities, primarily in frontier markets.

 

The opinions expressed in this document represent the views of TPAM, the Fund Manager of TCA, at the time of its preparation. This document has been prepared from publicly available information, internally developed data and other sources believed to be reliable, and all reasonable precautions have been taken to ensure its accuracy; however, no representation or warranty about the accuracy of the information contained in, or of any omissions from, this document or any supplementary information made available to any interested party or its advisers is implied, and any liability in respect of such information or omissions is hereby expressly disclaimed. Note that the information herein is not all of the information TPAM had available, or which it relied upon, when making its initial and continuing investment decisions. TPAM reserves the right to amend the information provided herein, and its opinions, at any time, and undertakes no obligation (express or implied) to provide any recipient with any further information or to correct any inaccuracies or omissions which may subsequently become apparent. Readers are advised that a fund managed by TPAM, and some officers and employees of TPAM currently own stock in TCA.

 

Investments in Emerging and Frontier markets usually suffer from liquidity problems, and are often affected by governmental interference in the free market, local politics and vagaries in commodity and currency prices; therefore, their prices can be very volatile. This means that it can be difficult to acquire and subsequently sell the shares noted in TCA's portfolio. This document is for information purposes only and it is not intended as an offer or solicitation regarding the purchase or sale of any security or investment vehicle.

 

All solicitations or offers regarding TCA are made and transacted on the public market of the AIM Section of the London Stock Exchange and occur by reference to TCA's Offering Memorandum and the document titled "Tender Offer to Purchase Ordinary Shares at the Tender Price and Restructuring and Amendment to the Directors' Incentive Plan and Change of name to Terra Capital PLC and Notice of Extraordinary General Meeting" of the April 30, 2012 (the "Circular") as amended by subsequent resolutions, primarily the one passed at the January 26, 2015 EGM. Documents are accessible on TCA's website www.terracapitalplc.com in the "Investor Centre" tab under the Documents and Announcements section of the file "AIM Rule 26". This website contains important information which may supplement, modify or differ from the information contained herein and no prospective investment decision should be considered before careful reading of documentation found on TCA's website. All current and prospective investors should be aware that PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.

 

By accepting this document, you agree to be bound by the foregoing limitations.

 TCA's 2nd Quarter 2016 Return & Portfolio

The Fund's NAV increased to $0.939 at June 30th, 2016 from $0.938 as of March 31, 2016, a net total return of 0.11% for the quarter.

The Fund's investment level (equity, fixed income and hedging) increased from 89.31% at March 31 (including commitment to Terra Argentine Fund) to 92.0% at June 30.

Specific Areas of Investment:

Asia

The Fund's exposure to Asia increased from 18.55% to 22.80%, and is now the fund's largest regional exposure. The fund increased its position in five holdings, which include Kcell (Kazakhstan), Century Pacific Foods (Philippines), Belle Corp (Philippines), Travelers Int'l Hotels (Philippines), and Emperador (Philippines). The fund liquidated its position in Hyundai (Korea).

Europe

The Fund's exposure to Europe decreased slightly from 24.19% to 22.09%, and is now the second largest regional allocation. The Fund liquidated three positions: JSC Acron (Russia), PKP Cargo (Poland), and VIB Vermoegen (Germany). There were no other changes during the period.

Americas

The allocation to this region increased from 18.90% to 20.13%. The fund contributed to the fourth capital call in the Terra Argentine Fund and initiated a new investment strategy in Brazil. In addition, it increased its position in Copa Holdings. The Fund decreased its holdings in Refineria La Pampilla (Peru) and Ferreycorp (Peru).

Middle East

Exposure to the Middle East decreased during the last quarter from 17.14% to 16.40%. The Fund increased its holdings in Blom Bank (Lebanon), Solidere (Lebanon), and Abu Dhabi Commercial Bank (UAE). The Fund decreased its holdings in Oman Cement (Oman) and Bank Sohar (Oman).

Africa

The Fund's allocation to Africa remained stable at 10.54%. The Fund increased its position in Holdsport (South Africa) and Umeme (Uganda) and initiated a new position in Nigerian Breweries (Nigeria). The fund decreased its position in Onatel (Burkina Faso) and UAC of Nigeria (Nigeria).

Fund Details

The following page details the Fund's holdings, changes from the prior quarter, and the total return of each company's shares over the quarter in both U.S. dollars and local currency. The numbers provided are based on TPAM's internal calculations.

 

Region

Country

Security

Shares

Market value

% of Fund

Change in Share Holdings

2Q US$ Total Return

2Q LC$ Total Return

AFRICA

Morocco

Residences Dar Saada

69,843

1,247,100.99

1.94%

No Change

10.51%

12.69%

South Africa

Holdsport Ltd.

230,501

924,705.10

1.44%

Increase

0.01%

0.05%

Tunisia

Automobile reseau tunisien et services

246,934

888,531.46

1.38%

No Change

-12.72%

-3.61%

Uganda

Umeme Ltd.

5,870,000

862,474.29

1.34%

Increase

-5.51%

-4.65%

Tunisia

One Tech Holding

248,305

804,118.20

1.25%

No Change

-1.60%

8.55%

Tunisia

Tunisie Leasing

87,818

749,689.94

1.17%

No Change

1.85%

12.31%

Burkina Faso

Onatel BF

30,477

696,107.17

1.08%

Decrease

-11.25%

-6.90%

South Africa

Onelogix Group Ltd.

2,281,292

449,686.77

0.70%

No Change

-12.11%

-12.12%

Nigeria

UAC of Nigeria

1,541,658

109,089.36

0.17%

Decrease

-26.34%

2.49%

Nigeria

Nigerian Breweries PLC

70,000

34,194.69

0.05%

New

-9.13%

28.97%

6,765,697.97

10.54%

AMERICAS

Argentina

Terra Argentine Fund LP

1,700,000

2,386,428.72

3.72%

Increase

8.79%

8.79%

Jamaica

National Commercial Bank Jamaica

5,431,719

1,845,625.58

2.88%

No Change

1.29%

5.45%

Argentina

Terra Argentine Fund LP Commitment

1,700,000.00

2.65%

Decrease

Argentina

IRSA Inversiones y represent. SA GDR RCTP

81,433

1,368,888.73

2.13%

No Change

12.37%

12.37%

Jamaica

Scotia Group Jamaica

5,429,031

1,320,470.76

2.06%

No Change

-2.16%

1.89%

Brazil

New

new

1,022,559.12

1.59%

New

Peru

Refineria La Pampilla SA

13,300,102

954,601.16

1.49%

Decrease

-7.46%

-8.53%

Peru

Ferreycorp SAA

1,827,387

866,982.06

1.35%

Decrease

13.55%

12.16%

Panama

Copa Holdings SA - Class A

15,265

797,748.90

1.24%

Increase

-22.11%

-22.11%

Jamaica

Jamaica Money Market Brokers - Jamaica

8,500,000

652,864.48

1.02%

No Change

-4.92%

-1.00%

12,916,169.51

20.13%

ASIA

Bangladesh

Square Pharma

629,734

2,136,231.39

3.33%

No Change

6.05%

5.98%

Bangladesh

Brac Bank Ltd

2,710,489

1,834,100.44

2.86%

No Change

24.24%

24.16%

Vietnam

Imexpharm Pharmaceutical JSC.

802,158

1,611,221.23

2.51%

No Change

-1.12%

-1.06%

Georgia

Bank of Georgia Holdings Plc

31,280

1,092,332.23

1.70%

No Change

19.18%

29.29%

Kazakhstan

Kcell JSC - GDRs

296,000

1,006,400.00

1.57%

Increase

3.81%

3.81%

Philippines

RFM Corporation

11,003,750

975,259.48

1.52%

No Change

-1.79%

0.72%

Philippines

Century Pacific Food Inc.

2,102,999

974,302.21

1.52%

Increase

12.13%

15.00%

China

Qingling Motors

3,042,615

941,209.01

1.47%

No Change

6.05%

6.10%

Philippines

Belle Corp

12,000,000

860,005.30

1.34%

Increase

10.23%

13.04%

Philippines

Travellers International Hot

9,300,000

668,476.01

1.04%

Increase

-10.54%

-8.27%

Philippines

Emperador Inc.

4,279,000

657,784.26

1.03%

Increase

-6.74%

-4.35%

Korea

Lotte Chilsung beverage Co - Pref

749

551,442.96

0.86%

No Change

-2.81%

-1.97%

Australia

Ardent Leisure Group

372,606

522,397.34

0.81%

No Change

-17.98%

-15.50%

Korea

Kumho Petro Chemical Co - PFD

17,850

435,479.25

0.68%

No Change

-4.60%

-3.77%

Korea

Shinyoung Securities LTD

8,370

362,617.64

0.57%

No Change

-17.27%

-16.56%

Korea

Hyundai Motor Co. Ltd. - PFD

0.00

0.00%

Liquidated

-9.92%

-9.13%

14,629,258.75

22.80%

EUROPE

Italy

QF Polis

1,789

2,160,150.23

3.37%

No Change

9.13%

12.16%

Hungary

Any Security Printing Co.Plc (AlamiNyomda)

553,679

1,967,451.52

3.07%

No Change

-4.58%

-1.47%

Serbia

Galenika-Fitofarmacija DP

82,744

1,949,522.85

3.04%

No Change

5.57%

9.12%

Slovenia

Gorenje Velenje

175,399

1,216,805.97

1.90%

No Change

37.29%

41.11%

Ukraine

Kernel Holding SA

86,323

1,159,872.99

1.81%

No Change

-4.27%

1.21%

Russsia

X5 Retail GDR

57,416

1,142,578.40

1.78%

No Change

-6.13%

-6.13%

Macedonia

Komercijalna Banka AD Skopje

28,845

1,119,179.76

1.74%

No Change

-2.62%

-0.09%

Croatia

Hrvatski Telekom DD

36,228

756,042.63

1.18%

No Change

-0.61%

2.07%

Montenegro

Crnogorski Telekom a.d.

222,624

691,790.72

1.08%

No Change

-28.69%

-26.70%

Estonia

Silvano Fashion Group AS

267,000

592,633.20

0.92%

No Change

28.02%

31.58%

Italy

QF BNL Portfolio IMM

845

499,837.27

0.78%

No Change

-4.50%

-1.84%

Bulgaria

Monbat AD

115,000

481,597.49

0.75%

No Change

0.02%

2.77%

Bulgaria

Speedy AD

16,818

343,563.38

0.54%

No Change

-1.54%

0.35%

Serbia

Komercialna Banka Serbia

7,231

92,662.44

0.14%

No Change

1.37%

4.78%

Russsia

JSC ACRON S GDR

0.00

0.00%

Liquidated

14.38%

14.38%

Poland

PKP Cargo S.A.

0.00

0.00%

Liquidated

-27.28%

-23.08%

Germany

Vib Vermoegen O.N

0.00

0.00%

Liquidated

9.11%

12.15%

14,173,688.85

22.09%

MIDDLE EAST

Lebanon

Blom Bank GDS ord B shs

156,272

1,570,533.60

2.45%

Increase

-0.22%

-0.22%

Qatar

Al Meera Consumer Goods

21,218

1,230,637.01

1.92%

No Change

2.04%

2.03%

U.A.E.

Air Arabia PJSC

2,947,000

1,051,067.25

1.64%

No Change

6.51%

6.50%

Oman

Oman Refreshment

175,000

999,870.15

1.56%

No Change

-2.23%

-2.22%

Lebanon

Solidere- GDRs

95,308

905,426.00

1.41%

Increase

-11.63%

-11.63%

Qatar

Doha Bank QSC

83,692

812,465.59

1.27%

No Change

-4.84%

-4.85%

Bahrain

Gulf Hotel Group b.s.c.

444,273

753,623.79

1.17%

No Change

-18.00%

-17.95%

Bahrain

SEEF Properties b.s.c.

1,414,577

716,118.12

1.12%

No Change

7.23%

7.30%

Qatar

Gulf Warehousing Company

40,750

645,706.32

1.01%

No Change

-1.70%

-1.70%

Oman

Oman Cement

464,950

569,942.60

0.89%

Decrease

2.60%

2.61%

Oman

Bank Sohar

1,116,811

498,874.15

0.78%

Decrease

21.11%

21.13%

U.A.E.

ABU DHABI COMMERCIAL BANK

248,000

408,494.42

0.64%

Increase

-9.70%

-9.70%

Bahrain

Bahrain Commercial Facilities Company

200,000

357,814.94

0.56%

No Change

-10.07%

-10.00%

10,520,573.94

16.40%

Total Equity Holdings

59,005,389.02

91.96%

Cash

5,160,446

8.04%

Total Fund

64,165,834.59

 

* These figures were prepared by the Fund Manager based on its internal records and calculations.

RESPECTFULLY SUBMITTED BY:

 

Terra Partners Asset Management Limited

Portomaso Tower, 8/5A, Portomaso Avenue,

St. Julian's ž STJ 4011 ž MALTA

Regulated by the Malta Financial Services Authority, Reg. No. C 56353

Registered Investment Adviser with the US Securities & Exchange Commission

 

Contact: Galileo Fund Services Limited (Administrator)

Ian Dungate or Suzanne Jones

+44 1624 692600

 

Panmure Gordon (Nominated adviser and corporate broker)

Paul Fincham or Jonathan Becher

+44 20 7886 2500

 

St Brides Partners Ltd

Elisabeth Cowell / Frank Buhagiar

+44 (0) 20 7236 1177

NOTES:

Terra Capital Plc is an AIM quoted investment trust focussed on generating high absolute returns while ensuring volatility is kept to a minimum. The Fund predominantly invests in under-researched and under-valued companies. The Fund Manager targets companies that it believes are trading at less than their intrinsic worth and so, aside from any potential growth prospects, provide scope for capital appreciation as a result of a reversion towards underlying value. Investments are also made in companies which are viewed as trading at fair value but still offer opportunities for growth at a reasonable price. Due to inherent market inefficiencies, the Fund Manager believes many such 'value' opportunities can be found in Frontier Markets and utilises in-house teams of analysts both at its office and in locations "on the ground" in areas of interest to investigate suitable opportunities rather than rely on third party research.

 

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