✨ Financial Statements




30 AUGUST 2013 NEW ZEALAND GAZETTE, No. 119 3199

THE COMMUNITY TRUST OF SOUTHLAND

NOTES TO THE FINANCIAL STATEMENTS

For the Year Ended 31 March 2013

Note 17: continued.

The fair value of the Managed Funds investments as at 31 March 2013 was as follows:

Group & Parent AMP Capital $000 Capital International $000 Direct Capital $000 First NZ Capital $000 Franklin Templeton $000 PIMCO $000 Tyndall Investrnt $000 Total $000
Australasian Equities 36,777 884 37,661
Overseas Equities 14,925 16,669 31,594
NZ Fixed Interest 45,809 45,809
Overseas Fixed Interest 54,895 54,895
Property Equities 7,068 7,068
Foreign Exchange contracts 275 275
Unsettled Trades 76 76
Cash 1,087 16 601 1,704 1,704
Total 44,932 14,925 384 16 16,669 54,895 46,761 179,082

The fair value of the Managed Funds investments as at 31 March 2012 was as follows:

Group & Parent AMP Capital $000 Capital International $000 Direct Capital $000 First NZ Capital $000 Franklin Templeton $000 PIMCO $000 Tyndall Investrnt $000 Total $000
Australasian Equities 15,944 695 15,693 32,332
Overseas Equities 13,391 15,137 28,528
NZ Fixed Interest 45,296 45,296
Overseas Fixed Interest 53,882 53,882
Property Equities 6,479 6,479
Foreign Exchange contracts 701 701
Unsettled Trades 79 79
Cash 175 102 2,764 3,041
Total 16,119 13,391 695 22,274 15,137 53,882 48,840 170,338

Exposure to currency, interest rate and credit risk arises in the normal course of the Fund Managers management of the Managed Funds. A range of hedging policies are in place whereby the Fund Managers use derivative financial instruments as a means of managing exposure to fluctuations in foreign exchange rates and interest rates. While these financial instruments are subject to the risk of market rates changing subsequent to acquisition, such changes would generally be offset by opposite effects and the items being hedged.



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Online Sources for this page:

Gazette.govt.nz PDF NZ Gazette 2013, No 119





✨ LLM interpretation of page content

πŸ’° Financial Report of the Community Trust of Southland (continued from previous page)

πŸ’° Finance & Revenue
15 August 2013
Financial Statements, Trustees, Community Trust, Southland, Accounting Policies, Goodwill, Cash Flows, Financial Assets, Liabilities, Investments, Unlisted Equities, Listed Equities, Managed Funds