€1.50
THURSDAY 1 SEPTEMBER 2022 • ISSUE 170
WWW.BUSINESSTODAY.COM.MT
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APS Funds SICAV plc net
asset value down 14.8% in
first six months of 2022
Eurozone hits
record inflation
of 9.1% amid
gas and energy
crisis
EUIPO supporting
Maltese businesses
in China for the
past five years
PAUL COCKS
THE net asset value of APS
Funds SICAV plc decreased from
€195,557,612 in January 2022 to
€166,552,465 at the end of June
this year, on offset of €29 million,
or just over 14.8%.
APS Funds SICAV plc is a com-
pany organised as a multi-fund
investment company with var-
iable share capital. It consists
of four funds: the APS Income
Fund, the APS Regular Income
Ethical Fund, the APS Diversified
Bond Fund and the APS Global
Equity Fund.
e company's interim finan-
cial statements for the first six
months of the year, published
this week, reveal that all four
sub-funds registered a decrease
in net asset value.
APS Income Fund
e net asset value of the APS
Income Fund decreased from
€88.41 million to €75.87 million
during the first six months of
2022.
STAR PERFORMER MSE FTSE 100
EUR EXCHANGE RATES
Trading Date: 31 Aug 2022
Number of Trades: 101
Turnover: € 1,018,782.61
MSE TRX Index: 7,649.03
(Change: 1.284%)
Name: 3.75% TMF SEC BDS
MT0002271204 - Currency €
Last Traded: 31 Aug 2022
Price 100.000
Change +1.990
US Dollar 1.0217
British Pound: 0.85227
Japanese Yen: 141.16
Australian Dollar: 1.4814
Swiss Franc: 0.99322
7,286.20
-75.43
7,378.44 / 7,263.62
Value
Net variation
High / Low
-1.03%