share_log

Royce Value Trust (NYSE: RVT) as of Aug 31, 2023

Royce Value Trust (NYSE: RVT) as of Aug 31, 2023

截至2023年8月31日,羅伊斯價值信託基金(紐約證券交易所代碼:RVT)
PR Newswire ·  2023/10/04 02:50

NEW YORK, Oct. 3, 2023 /PRNewswire/ --

紐約2023年10月3日美通社/--

  • Oldest and largest small-cap closed-end fund
  • Average weekly trading volume of approximately 916,399 shares
  • Fund's adviser has more than 40 years of small- and micro-cap investment experience
  • 歷史最悠久、規模最大的小盤封閉式基金
  • 每週平均成交量約為916,399股
  • 基金顧問擁有40多年的小盤和微型股投資經驗

CLOSING PRICES AS OF 08/31/23


NAV

15.95

MKT

13.91

截至23年8月31日的收盤價


NAV

15.95

MKT

13.91

AVERAGE ANNUAL TOTAL RETURN AS OF 08/31/23

NAV (%)

MKT (%)

One-Month*

-2.63

-3.34

Year to Date*

13.50

9.06

One-Year

12.11

-0.49

Three-Year

9.45

9.79

Five-Year

6.17

5.06

10-Year

8.91

8.84

截至23年8月31日的年均總回報

淨資產淨值(%)

MKT(%)

一個月*

-2.63

-3.34

年初至今*

13.50

9.06

一年制

12.11

-0.49

三年制

9.45

9.79

五年制

6.17

5.06

10年期

8.91

8.84

*Not Annualized

*未按年率計算

Important Performance and Expense Information

重要的性能和費用資訊

All performance information reflects past performance, is presented on a total return basis, net of the Fund's investment advisory fee, 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 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.

所有執行情況資料反映過去的執行情況,在扣除基金投資諮詢費後按總回報列報,並反映分配的再投資情況。過去的表現並不能保證未來的結果。當前業績可能高於或低於報價的業績。截至最近一個月底的報表可在以下網址獲得。基金股票的市場價格將會波動,因此股票在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 micro-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盤股和微型股公司的證券,這可能比投資大盤股公司的風險大得多。基金的投資組合廣泛多樣化,不能保證盈利或避免虧損。有時,該基金可能會將其淨資產的很大一部分投資於外國證券,這可能涉及政治、經濟、貨幣和其他美國投資中沒有遇到的風險。

PORTFOLIO DIAGNOSTICS


Average Market Cap1

$2666.1M

Weighted Average P/E2

14.9x

Weighted Average P/B2

2.0x

Net Assets

$1.78B

Net Leverage

0.8 %

投資組合診斷


平均市值1

2.661億美元

加權平均本益比2.

14.9x

加權平均本益比2.

2.0x

淨資產

17.8億美元

淨槓桿

0.8%

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:這種加權計算使用每個投資組合持有的市值,其目的是不扭曲持有的非常大或很小的資產的影響;相反,它旨在更好地確定投資組合的中心,羅伊斯認為,與簡單的平均值或中位數相比,該中心提供了更準確的平均市值衡量標準。

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.調和平均:這種加權計算將投資組合視為一隻股票進行評估,並對其進行整體衡量。它將投資組合的總市值與投資組合在標的股票收益中的份額進行比較。

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 (14% of portfolio holdings as of 08/31/23). The Price-to-Book, or P/B, Ratio is calculated by dividing a company's share price by its book value per share.

本益比的計算方法是將一家公司的股價除以其過去12個月的每股收益(EPS)。基金的本益比計算不包括盈利為零或為負的公司(截至2003年8月31日佔投資組合持有量的14%)。市淨率(P/B)的計算方法是將公司股價除以每股賬面價值。

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

市淨率(P/B)的計算方法是將公司股價除以每股賬面價值。

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

淨槓桿率是超過100%的股票型投資總價值除以淨資產的百分比。

Portfolio Composition

投資組合構成

TOP 10 POSITIONS

% OF NET ASSETS (SUBJECT TO CHANGE)

Alamos Gold Cl. A

1.4

IES Holdings

1.1

MKS Instruments

1.1

Ziff Davis

1.0

SEI Investments

1.0

Enovis Corporation

1.0

Fabrinet

1.0

LCI Industries

0.9

PAR Technology

0.9

APi Group

0.9

排名前十的職位

淨資產的百分比(如有變動)

阿拉莫斯黃金氯。一個

1.4

IES控股公司

1.1

MKS儀器公司

1.1

茲夫·戴維斯

1.0

SEI投資公司

1.0

埃諾維斯公司

1.0

法布裡內

1.0

LCI工業公司

0.9

PAR技術

0.9

API組

0.9

TOP FIVE SECTORS

% OF NET ASSETS (SUBJECT TO CHANGE)

Industrials

26.4

Financials

18.8

Information Technology

15.5

Consumer Discretionary

10.2

Health Care

9.8

排名前五的行業

淨資產的百分比(如有變動)

工業類股

26.4

金融類股

18.8

資訊科技

15.5

消費者可自由支配

10.2

醫療保健

9.8

Recent Developments
Royce Value Trust is a closed-end diversified management investment company whose shares of Common Stock (RVT) are listed and traded on the New York Stock Exchange. Its primary investment goal is long-term capital growth, which it seeks by investing at least 65% of its assets in equity securities primarily of small- and micro-cap companies.

最新發展動態
羅伊斯價值信託是一家封閉式多元化管理投資公司,其普通股(RVT)在紐約證券交易所上市交易。它的主要投資目標是長期資本增長,它通過將至少65%的資產投資於股權證券(主要是小盤和微型公司)來實現這一目標。

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

羅伊斯價值信託的每日資產淨值(NAV)現已在我們的網站上、通過大多數股票代碼查找服務和在代號為XRVTX的經紀終端上在線獲得。欲瞭解更多資訊,請致電羅伊斯基金(800)221-4268或訪問我們的網站。

An investor in Royce Value Trust should consider the Fund's investment goals, risks, fees, and expenses carefully before investing.

羅伊斯價值信託的投資者在投資前應仔細考慮基金的投資目標、風險、費用和支出。

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.

重要披露資訊
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資產淨值。每個基金的普通股的份額也受到投資於基金持有的基礎證券組合的市場風險的影響。羅伊斯基金服務有限責任公司。(“RFS”)是FINRA的成員,並代表每個基金向FINRA提交了這份材料。RFS不是封閉式基金的分銷商或承銷商。

SOURCE Royce Value Trust

來源羅伊斯價值信託基金

譯文內容由第三人軟體翻譯。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
    搶先評論