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Royce Global Trust (NYSE: RGT) as of Apr 30, 2024

Royce Global Trust (NYSE: RGT) as of Apr 30, 2024

截至2024年4月30日的羅伊斯環球信託(紐約證券交易所代碼:RGT)
PR Newswire ·  05/28 14:35

NEW YORK, May 28, 2024 /PRNewswire/ --

紐約,2024 年 5 月 28 日 /PRNewswire/--

  • A closed-end fund that invests in global equities using a disciplined value approach
  • Average weekly trading volume of approximately 48,212 shares
  • Fund's adviser has more than 50 years of small- and micro-cap investment experience
  • 使用嚴格的價值方法投資全球股票的封閉式基金
  • 平均每週交易量約爲48,212股
  • 基金的顧問擁有超過50年的小型和微型股投資經驗

CLOSING PRICES AS OF 04/30/24


NAV

12.08

MKT

10.23

截至 24 年 4 月 30 日的收盤價


導航

12.08

市場

10.23

AVERAGE ANNUAL TOTAL RETURN AS OF 04/30/24

NAV (%)

MKT (%)

One-Month*

-4.28

-4.30

Year to Date*

3.07

4.92

One-Year

15.65

18.76

Three-Year

-2.24

-4.37

Five-Year

6.19

6.06

10-Year

5.65

5.36

*Not Annualized

截至 24 年 4 月 30 日的平均年總回報率

淨值 (%)

MKT (%)

一個月*

-4.28

-4.30

年初至今*

3.07

4.92

一年

15.65

18.76

三年

-2.24

-4.37

五年

6.19

6.06

10 年

5.65

5.36

*未按年計算

Important Performance and Expense Information

重要的績效和支出信息

All performance information reflects past performance, is presented on a total return basis, and reflects the reinvestment of distributions. Past performance is no guarantee of future results. Current performance may be higher or lower than performance quoted. Returns as of the most recent month-end may be obtained at . The market price of the Fund's shares will fluctuate, so that shares may be worth more or less than their original cost when sold.

所有業績信息都反映了過去的業績,以總回報爲基礎列報,並反映了分配的再投資。過去的表現並不能保證未來的業績。當前性能可能高於或低於報價的性能。截至最近一個月底的退貨可在以下網址獲得。基金股票的市場價格將波動,因此股票出售時的價值可能高於或低於其原始成本。

The Fund invests primarily in securities of small-cap and mid-cap companies, which may involve considerably more risk than investing in larger-cap companies. The Fund's broadly diversified portfolio does not ensure a profit or guarantee against loss. From time to time, the Fund may invest a significant portion of its net assets in foreign securities, which may involve political, economic, currency and other risks not encountered in U.S. investments.

該基金主要投資於小型和中型股公司的證券,這可能比投資大盤股公司所涉及的風險要大得多。該基金廣泛分散的投資組合並不能確保盈利或虧損保障。基金可能會不時將其淨資產的很大一部分投資於外國證券,這可能涉及美國投資中未遇到的政治、經濟、貨幣和其他風險。

PORTFOLIO DIAGNOSTICS


Average Market Cap1

$2055.8M

Weighted Average P/E2

22.0x

Weighted Average P/B2

2.8x

Net Assets

$76.8M

Net Leverage

4.3 %

投資組合診斷


平均市值1

2.055 億美元

加權平均市盈率2

22.0 倍

加權平均市盈率2

2.8 倍

淨資產

76.8 億美元

淨槓桿率

4.3%

1Geometric Average: This weighted calculation uses each portfolio holding's market cap in a way designed to not skew the effect of very large or small holdings; instead, it aims to better identify the portfolio's center, which Royce believes offers a more accurate measure of average market cap than a simple mean or median.

1幾何平均值:這種加權計算使用了每個投資組合持股的市值,其設計目的是在不扭曲非常大或非常小的持股的影響;相反,它旨在更好地確定投資組合的中心,羅伊斯認爲,與簡單的平均值或中位數相比,投資組合可以更準確地衡量平均市值。

2Harmonic Average: This weighted calculation evaluates a portfolio as if it were a single stock and measures it overall. It compares the total market value of the portfolio to the portfolio's share in the earnings of its underlying stocks.

2諧波平均值:這種加權計算將投資組合當作單一股票進行評估,並對其進行總體衡量。它將投資組合的總市值與投資組合在其標的股票收益中所佔的份額進行了比較。

The Price-Earnings, or P/E, ratio is calculated by dividing a company's share price by its trailing 12-month earnings-per-share (EPS). The Fund's P/E ratio calculation excludes companies with zero or negative earnings (15% of portfolio holdings as of 04/30/24). The Price-to-Book, or P/B, Ratio is calculated by dividing a company's share price by its book value per share.

這個 市盈率或市盈率的計算方法是將公司的股價除以其過去12個月的每股收益(EPS)。該基金的市盈率計算不包括收益爲零或負的公司(截至24年4月30日佔投資組合持有的15%)。賬面價格比率(P/B)的計算方法是將公司的股價除以其每股賬面價值。

The Price-to-Book, or P/B, Ratio is calculated by dividing a company's share price by its book value per share.

這個 預定價格,或市盈率,通過將公司的股價除以每股賬面價值來計算。

Net leverage is the percentage, in excess of 100 %, of the total value of equity type investments, divided by net assets.

淨槓桿率是股票類投資總價值中超過100%的百分比除以淨資產。

Portfolio Composition

投資組合構成

TOP 10 P5OSITIONS

% OF NET ASSETS (SUBJECT TO
CHANGE)

Vistry Group

3.9

Sprott

2.3

APi Group

2.3

Transcat

2.3

EVI Industries

2.1

Esab

2.1

SEI Investments

2.1

FTAI Aviation

2.0

Tel Aviv Stock Exchange

1.9

Morningstar

1.9

前 10 名 P5 職位

淨資產的百分比(取決於
更改)

Vistry 集團

3.9

Sprott

2.3

Api 群組

2.3

Transcat

2.3

EVI 工業

2.1

伊薩

2.1

SEI 投資

2.1

FTAI 航空

2.0

特拉維夫證券交易所

1.9

晨星

1.9

TOP FIVE SECTORS

% OF NET ASSETS (SUBJECT TO
CHANGE)

Industrials

36.3

Financials

23.6

Information Technology

14.1

Consumer Discretionary

8.3

Materials

7.6

排名前五的行業

淨資產的百分比(取決於
更改)

工業

36.3

金融

23.6

信息技術

14.1

消費者自由裁量權

8.3

材料

7.6

Recent Developments
The investment goal of Royce Global Trust is long-term growth of capital. Under normal market circumstances, the Fund will invest at least 80% of its net assets in equity securities, such as common stock and preferred stock, and at least 65% of its net assets in the equity securities of companies located in at least three countries outside of the United States. Royce & Associates, LP manages the Fund.

最近的事態發展
羅伊斯環球信託的投資目標是資本的長期增長。在正常市場情況下,該基金將把至少80%的淨資產投資於股票證券,例如普通股和優先股,並將至少65%的淨資產投資於位於美國以外至少三個國家的公司的股票證券。Royce & Associates, LP 管理該基金。

Daily net asset values (NAVs) for Royce Global Trust are now available on our website and online through most ticker symbol lookup services and on broker terminals under the symbol XRGTX. For more information, please call The Royce Funds at (800) 221-4268 or visit our website at .

Royce Global Trust的每日淨資產價值(NAV)現在可以在我們的網站上獲得,也可以通過大多數股票代碼查詢服務在線獲取,也可以在經紀終端上以XRGTX的代碼在經紀商終端上獲得。欲了解更多信息,請致電 (800) 221-4268致電羅伊斯基金或訪問我們的網站,網址爲。

An investor in Royce Global Trust should consider the Fund's investment goals, risks, fees, charges, and expenses carefully before purchasing share's of the Fund's common stock.

羅伊斯環球信託的投資者在購買該基金普通股之前,應仔細考慮基金的投資目標、風險、費用、收費和開支。

Important Disclosure Information
Closed-End Funds are registered investment companies whose shares of common stock may trade at a discount to their net asset value. Shares of each Fund's common stock are also subject to the market risks of investing in the underlying portfolio securities held by the Fund. Royce Fund Services, LLC. ("RFS") is a member of FINRA and has filed this material with FINRA on behalf of each Fund. RFS does not serve as a distributor or as an underwriter to the closed-end funds.

重要披露信息
封閉式基金是註冊的投資公司,其普通股的交易價格可能低於其淨資產價值。每隻基金普通股的股票還要承受投資於基金持有的標的投資組合證券的市場風險。羅伊斯基金服務有限責任公司(“RFS”)是FINRA的成員,並已代表各基金向FINRA提交了此材料。RFS不擔任封閉式基金的分銷商或承銷商。

SOURCE Royce Global Value Trust, Inc.

來源 Royce 全球價值信託公司

声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
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