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    Canadian General Investments  278  0 Kommentare Investment Update - Unaudited

    TORONTO, CANADA--(Marketwired - June 4, 2014) - Canadian General Investments, Limited (CGI) (TSX:CGI)(TSX:CGI.PR.C)(TSX:CGI.PR.D)(LSE:CGI) reports on an unaudited basis that its net asset value per share (NAV) at May 31, 2014 was $27.00, resulting in year-to-date and 12-month NAV returns, with dividends reinvested, of 6.2% and 25.0%, respectively. These compare with the 8.5% and 19.0% returns of the benchmark S&P/TSX Composite Index on a total return basis for the same periods.

    The closing price for CGI's common shares at May 31, 2014 was $18.35, resulting in year-to-date and 12-month share price returns, with dividends reinvested, of 1.1% and 20.8%, respectively.

    The sector weightings of CGI's investment portfolio at market as of May 31, 2014 were as follows:

    Energy 22.9 %
    Financials 22.3 %
    Consumer Discretionary 16.6 %
    Industrials 14.6 %
    Materials 11.4 %
    Information Technology 5.9 %
    Telecommunication Services 3.1 %
    Consumer Staples 1.2 %
    Utilities 1.0 %
    Health Care 0.8 %
    Cash & Cash Equivalents 0.2 %

    The top ten investments which comprised 29.2% of the investment portfolio at market as of May 31, 2014 were as follows:

    Dollarama Inc. 4.6 %
    Enbridge Inc. 3.6 %
    Canadian Pacific Railway Limited 3.3 %
    Bank of Montreal 2.9 %
    Element Financial Corporation 2.7 %
    Royal Bank of Canada 2.5 %
    Air Canada 2.5 %
    Home Capital Group Inc. 2.4 %
    Methanex Corporation 2.4 %
    Raging River Exploration Inc. 2.3 %
    Canadian General Investments, Limited
    Jonathan A. Morgan
    President and CEO
    (416) 366-2931
    (416) 366-2729 (FAX)
    cgifund@mmainvestments.com
    www.canadiangeneralinvestments.ca



    Verfasst von Marketwired
    Canadian General Investments Investment Update - Unaudited TORONTO, CANADA--(Marketwired - June 4, 2014) - Canadian General Investments, Limited (CGI) (TSX:CGI)(TSX:CGI.PR.C)(TSX:CGI.PR.D)(LSE:CGI) reports on an unaudited basis that its net asset value per share (NAV) at May 31, 2014 was $27.00, resulting …