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The Spain Fund Releases Monthly Portfolio Update
Friday, June 19, 2009 4:53 PM


(Source: PRNewswire-FirstCall)trackingNEW YORK, June 19 /PRNewswire-FirstCall/ -- The Spain Fund, Inc. (the "Fund") today released its monthly portfolio update as of May 31, 2009.

         Top 10 Equity Holdings                                           Portfolio %         Sector       1)Telefonica SA                          20.89%      Utilities       2)Banco Santander Central Hispano        11.71%        Finance         SA       3)Repsol YPF SA                          10.49%         Energy       4)Banco Bilbao Vizcaya Argentaria         6.56%        Finance         SA       5)Iberdrola SA                            4.73%      Utilities       6)Indra Sistemas SA                       3.63%     Technology       7)Enagas                                  3.54%      Utilities       8)America Movil SAB de CV Series L        3.27%      Consumer                                                             Services       9)Grifols SA                              2.96%    Health Care      10)Corporacion Financiera Alba             2.84%        Finance    Sector/Industry Breakdown                                                        Portfolio %        Utilities:            Telephone Utility                                20.89%            Electric & Gas Utility                           11.43%            Miscellaneous                                     2.76%            SUBTOTAL                                         35.08%        Finance:            Banking - Money Center                           18.26%            Miscellaneous                                     5.16%            Insurance                                         1.79%            Banking - Regional                                1.05%            Brokerage & Money Management                      0.66%            Real Estate                                       0.39%            SUBTOTAL                                         27.31%        Energy:            International                                    10.87%            Miscellaneous                                     1.95%            SUBTOTAL                                         12.82%        Capital Goods:            Engineering & Construction                        8.42%        Consumer Services:            Cellular Communications                           3.26%            Miscellaneous                                     1.47%            Apparel                                           1.28%            SUBTOTAL                                          6.01%        Consumer Staples:            Food                                              3.77%        Technology:            Computer Services                                 3.63%        Health Care:            Miscellaneous                                     2.96%        Total                                               100.00%    Security Type Breakdown                                                Portfolio%        Common Stocks:           Foreign                                 100.00%           Total                                   100.00%    Country Breakdown                                                         Portfolio%               Spain                                         94.36%               Mexico                                         3.65%               Portugal                                       1.99%               Total                                        100.00%         Portfolio Statistics          Total Net Assets:          $58.5 Million          Net Asset Value:           $6.56          Number of Holdings:        31  

The foregoing portfolio characteristics are as of the date indicated and can be expected to change. The Fund is a closed-end U.S.-registered management investment company advised by AllianceBernstein L. P.

The Spain Fund, Inc.

CONTACT: Shareholder Contact, +1-800-221-5672

A service of YellowBrix, Inc.



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