The First Israel Fund, Inc. Announces Performance Data and Portfolio Composition
January 06 2010 - 3:30PM
PR Newswire (US)
PHILADELPHIA, Jan. 6 /PRNewswire-FirstCall/ -- The First Israel
Fund, Inc. (the "Fund") (NYSE Amex: ISL), a closed-end equity fund,
announced today its performance data and portfolio composition as
of November 30, 2009. The Fund's total returns for various periods
through November 30, 2009 are provided below. (All figures are
based on distributions reinvested at the dividend reinvestment
price and are stated net-of-fees): Period NAV Total Return % Market
Price Total Return % ------ ------------------
--------------------------- Cumulative Annualized Cumulative
Annualized ---------- ---------- ---------- ---------- Since
inception (October 1992) 242.5 7.5 215.1 6.9 --------------- -----
--- ----- --- 10-years 86.7 6.4 100.9 7.2 -------- ---- --- -----
--- 5-years 66.2 10.7 74.8 11.8 ------- ---- ---- ---- ---- 3-years
17.3 5.5 19.2 6.0 ------- ---- --- ---- --- 1-year 74.7 122.5
------ ---- ----- On November 30, 2009, the Fund's net assets
amounted to US$67.4 million and the Fund's NAV per share was
$15.77. As of November 30, 2009, the portfolio was invested as
follows: Portfolio Composition Percent of ---------------------
---------- Net Assets ---------- Financials 28.3 ---------- ----
Other 22.0 ----- ---- Consumer, Non-Cyclical 18.2
---------------------- ---- Basic Materials 13.9 ---------------
---- Communications 10.1 -------------- ---- Industrials 5.8
----------- --- Technology 1.5 ---------- --- Consumer, Cyclical
0.2 ------------------ --- The Fund's ten largest equity holdings
as of November 30, 2009, representing 71.6% of net assets, were:
Stock Percent of ----- ---------- Net Assets ---------- Teva
Pharmaceutical Industries Limited 11.3
-------------------------------------- ---- Israel Chemicals
Limited 10.1 ------------------------ ---- United Mizrahi Bank
Limited 9.4 --------------------------- --- Bezeq The Israeli
Telecommunication Corporation Limited 9.2
----------------------------------------------- --- Check Point
Software Tech 9.1 ------------------------- --- Perrigo Company 5.4
--------------- --- Bank Hapoalim BM 4.8 ---------------- --- Bank
Leumi Le-Israel BM 4.8 ----------------------- --- Harel Insurance
Investments & Financial Services 4.4
------------------------------------------------ --- Super Sol 3.1
--------- --- Important Information Aberdeen Asset Management Inc.
has prepared this report based on information sources believed to
be accurate and reliable. However, the figures are unaudited and
neither the Fund, Aberdeen Asset Management Investment Services
Limited (the Investment Adviser), nor any other person guarantees
their accuracy. Investors should seek their own professional advice
and should consider the investment objectives, risks, charges and
expenses before acting on this information. Aberdeen is a U.S.
registered service mark of Aberdeen Asset Management PLC. Total
return figures with distributions reinvested at the dividend
reinvestment price are stated net-of-fees and represents past
performance. Past performance is not indicative of future results,
current performance may be higher or lower. Holdings are subject to
change and are provided for informational purposes only and should
not be deemed as a recommendation to buy or sell the securities
shown. Inception date October 29, 1992. If you wish to receive this
information electronically, please contact: DATASOURCE: The First
Israel Fund, Inc. CONTACT: Aberdeen Asset Management Inc., Investor
Relations, +1-866-839-5205,
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