The New Ireland Fund, Inc. Monthly Portfolio Updated
January 02 2020 - 4:05PM
The New Ireland Fund, Inc. (NYSE: IRL) today released an updated
Monthly portfolio statement as of December 31, 2019.
|
|
|
|
|
Issuer Name |
|
Shareholding |
US $ Market Value |
% of Net Assets |
AIB GROUP PLC |
|
562,521 |
1,959,832 |
3.31 |
AMRYT PHARMA EMA CVR RTS |
|
300,819 |
0 |
0.00 |
AMRYT PHARMA FDA CVR RTS |
|
300,819 |
0 |
0.00 |
AMRYT PHARMA PLC |
|
300,819 |
486,130 |
0.82 |
AMRYT PHARMA REVENUE CVR
RTS |
|
300,819 |
0 |
0.00 |
APPLEGREEN PLC |
|
251,921 |
1,582,454 |
2.67 |
BANK OF IRELAND GROUP
|
|
292,586 |
1,602,249 |
2.70 |
C&C GROUP PLC |
|
336,019 |
1,809,306 |
3.05 |
CAIRN HOMES PLC |
|
396,641 |
560,592 |
0.95 |
CIE DE SAINT-GOBAIN |
|
45,756 |
1,873,353 |
3.16 |
COVANTA HOLDING CORP |
|
73,043 |
1,083,958 |
1.83 |
CRH PLC |
|
368,878 |
14,759,258 |
24.90 |
DALATA HOTEL GROUP PLC |
|
322,959 |
1,865,663 |
3.15 |
DCC PLC |
|
20,226 |
1,753,238 |
2.96 |
FLUTTER ENTERTAINMENT PLC |
|
21,750 |
2,643,424 |
4.46 |
GLANBIA PLC |
|
31,761 |
365,528 |
0.62 |
GLENVEAGH PROPERTIES PLC |
|
1,126,099 |
1,102,731 |
1.86 |
GRAFTON GROUP PLC |
|
216,007 |
2,480,701 |
4.19 |
GREENCOAT RENEWABLES PLC |
|
312,256 |
415,057 |
0.70 |
GREENCORE GROUP PLC |
|
179,092 |
635,531 |
1.07 |
IPL PLASTICS INC |
|
180,354 |
1,094,443 |
1.85 |
IRISH CONTINENTAL GROUP
PLC |
|
177,922 |
965,948 |
1.63 |
KERRY GROUP PLC
|
|
7,017 |
874,469 |
1.48 |
KINGSPAN GROUP PLC |
|
64,284 |
3,926,263 |
6.62 |
MALIN CORPORATION PLC |
|
162,553 |
827,808 |
1.40 |
MINCON GROUP PLC |
|
718,130 |
829,696 |
1.40 |
ORIGIN ENTERPRISES PLC
|
|
21,273 |
88,528 |
0.15 |
RYANAIR HOLDINGS PLC ADR
|
|
16,230 |
1,421,910 |
2.40 |
RYANAIR HOLDINGS PLC
|
|
92,391 |
1,516,187 |
2.56 |
SMURFIT KAPPA GROUP
PLC |
|
65,064 |
2,500,384 |
4.22 |
TOTAL PRODUCE PLC |
|
748,397 |
1,200,457 |
2.03 |
UDG HEALTHCARE PLC |
|
102,268 |
1,091,848 |
1.84 |
UNIPHAR PLC |
|
1,740,000 |
2,381,155 |
4.02 |
VEOLIA ENVIRONNEME |
|
50,924 |
1,354,356 |
2.29 |
The holdings are subject to change at any point in time
hereafter.
Investment Objective: The New Ireland Fund, Inc.
(NYSE: IRL), a closed-end non-diversified investment company, seeks
long-term capital appreciation through investment of at least 80%
of its assets in a portfolio of Irish securities.
The New Ireland Fund, Inc. is managed by KBI
Global Investors (North America) Ltd, a wholly owned subsidiary of
KBI Global Investors Ltd, and is listed on the New York Stock
Exchange under the ticker symbol IRL. For further
information, please contact the Fund at (800) 468-6475 or
investor.query@newirelandfund.com Website: newirelandfund.com
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