5th July 2018

Polar Capital Global Financials Trust Plc (the 'Company')

Top Fifteen Holdings and Sector and Geographic Exposures as at 29th June 2018 and full Portfolio listing as at 31st May 2018 available from the Company's website.

Polar Capital Global Financials Trust Plc is pleased to announce that as at 29th June 2018 the top fifteen equity holdings and the sector and geographic breakdown were as follows:

Top 15 Longs

%

JPMorgan

4.9%

Bank of America

4.1%

Wells Fargo

3.3%

Mastercard

2.7%

Chubb

2.6%

Citigroup

2.6%

ING Groep

2.5%

Sumitomo Mitsui Financial

2.3%

Marsh & McLennan

2.1%

Toronto-Dominion

2.1%

KBC Groep

2.1%

BNP Paribas

2.0%

PNC

1.9%

Sampo

1.9%

KeyCorp

1.8%

Total

38.8%

Sector Exposure

Total %

Banks

63.8%

Insurance

11.0%

Diversified Financials

8.5%

Fixed Income

5.6%

Real Estate

3.2%

Software & Services

2.7%

Cash

5.2%

Total

100.0%

Geographic Exposure

Total %

North America

41.5%

Europe

21.2%

Asia Pac (ex-Japan)

12.1%

UK

10.4%

Fixed Income

5.6%

Japan

3.2%

Eastern Europe

0.5%

Latin America

0.4%

Cash

5.2%

Total

100.0%

Gearing Ratio as calculated in accordance with the guidelines of the Association of Investment Companies, was 2.5%.

The monthly factsheet will usually be available on the Company's website on the 10th working day after the month end and includes a commentary by the investment manager.

Neither the contents of the Company's website nor the contents of any website accessible from the hyperlinks on the Company's website (or any other website) is incorporated into or forms part of this announcement.

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Polar Capital Global Financials Trust plc published this content on 05 July 2018 and is solely responsible for the information contained herein. Distributed by Public, unedited and unaltered, on 05 July 2018 15:03:04 UTC