Trikona Trinity Capital PLC

Trikona Trinity Capital PLC

  • FE Crown Rating: n/a
    1year Growth
Trikona Trinity Capital PLC 8.3%
Unclassified
10.5%
  (Benchmark)  
0 150+
920
37

FE RISK SCORE

 
1year
3year
1st Quartile
 
 
2nd Quartile
 
 
3rd Quartile
 
 
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FUND RANKING

Currency: GBX
Price: 0.81
Estimated NAV: 6.70
Discount / Premium: -87.9%
Gearing: n/a
Dividend Yield: n/a

PRICE

Initial Charges: n/a
Annual Mgt. Charge: n/a
Total Expense Ratios: n/a
ISA: SIPP:

CHARGES

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2a
PAST PERFORMANCE: FUND VS SECTOR
1b
FUND MANAGER CLOSE
    No manager data found.
 
4d
FUND OBJECTIVES & COMPANY INFO
To focus on investing in real estate and real estate - related entities across India.
Investment Objectives
To focus on investing in real estate and real estate - related entities across India.

Contact Details
IOMA House, Hope Street, Douglas, Isle of Man, IM1 1AP


info@trikonacapital.com
MORE & FULL COMPANY INFORMATION
5e
PORTFOLIO BREAKDOWN & HISTORY
  Name Total% Rank (Prev)
 
UPPALAS IT PARK TECH...
n/a 1 -
 
LOKHANDWALA
n/a 2 -
 
DB (BKC) REALTORS
n/a 3 -
  Name Total% Rank (Prev)
 
Property
100.00 1 -
       
       
 NameTotal%Rank(Prev)
 
Property
100.00 1 -
    
    
 NameTotal%Rank(Prev)
 
Far East
100.00 1 -
       
       
Top 10 Holdings
 NameTotal%Rank(Prev)
 
UPPALAS IT PARK TECH...
n/a 1 -
 
LOKHANDWALA
n/a 2 -
 
DB (BKC) REALTORS
n/a 3 -
    
    
    
    
    
    
    
TOTALn/a  
Top 10 Sectors
 SectorTotal%Rank(Prev)
 
Property
100.00 1 -
    
    
    
    
    
    
    
    
    
TOTAL100.00  
Top 10 Assets
 AssetTotal%Rank(Prev)
 
Property
100.001 -
    
    
    
    
    
    
    
    
    
TOTAL100.00  
Top 10 Regions
 RegionsTotal%Rank(Prev)
 
Far East
100.001 -
    
    
    
    
    
    
    
    
    
TOTAL100.00  
SHOW ALL
7f 5e
KEY STATISTICS
Fund Type: United Kingdom Investment Trusts Last report / accounts: 29-Dec-2016
Launched: 2006 Last AGM: 27-Sep-2016
Gross assets: £0.0m / $0.0m Next AGM: September 2017
Sector: Unclassified Management contract: n/a
Asset Class: Property Borrowing Limit: n/a
Savings plan: Savings Plan Continuation / Wind-up provision: n/a
       
Fund Type: United Kingdom Investment Trusts
Launched: 2006
Gross assets: £0.0m / $0.0m
Sector: Unclassified
Asset Class: Property
Savings plan: Savings Plan
Last report / accounts: 29-Dec-2016
Last AGM: 27-Sep-2016
Next AGM: September 2017
EGM: 29-Nov-2010
Stockbroker(s): n/a
Management contract: n/a
Borrowing limit: n/a
Continuation / Wind-up provision: n/a
Dividend policy: n/a
Investment restrictions: n/a
Reconstruction proposal: n/a
Settlement details: n/a
Tax policy: n/a
ISIN: GB00B0ZL5243
Sedol: B0ZL524
SHOW ALL
8g
RATIOS
1year 3year
Volatility 148.59 89.99
Alpha 256.68 46.91
Beta -8.08 -0.96
Sharpe -0.26 0.08
InfoRatio -0.15 0.11
RSquared 0.09 0.00
QUARTILES KEY:
1st 2nd 3rd 4th

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