EP GLOBAL OPPORTUNITIES TRUST PLC PORTFOLIO HOLDINGS AS AT 31 DECEMBER 2017

% of

Rank

Company

Sector

Country

Net Assets

1

Royal Dutch Shell A

Oil & Gas

Netherlands

4.4

2

Panasonic

Consumer Goods

Japan

3.7

3

Novartis

Health Care

Switzerland

3.5

4

AstraZeneca

Health Care

United Kingdom

3.1

5

Bank Mandiri

Financials

Indonesia

3.0

6

BP

Oil & Gas

United Kingdom

2.9

7

HSBC

Financials

United Kingdom

2.9

8

Commerzbank

Financials

Germany

2.9

9

Shanghai Fosun

Pharmaceutical H

Health Care

China

2.8

10

Sumitomo Mitsui Financial

Financials

Japan

2.8

11

Sumitomo Mitsui Trust

Financials

Japan

2.7

12

Galaxy Entertainment

Consumer Services

Hong Kong

2.7

13

Tesco

Consumer Services

United Kingdom

2.7

14

Mitsubishi

Industrials

Japan

2.7

15

Synchrony Financial

Financials

United States

2.6

16

Ubisoft Entertainment

Consumer Goods

France

2.6

17

Bangkok Bank *

Financials

Thailand

2.6

18

Baidu

Technology

China

2.5

19

Roche **

Health Care

Switzerland

2.5

20

PostNL

Industrials

Netherlands

2.5

21

Credicorp

Financials

Peru

2.4

22

Edinburgh Partners Emerging

Opportunities Fund

Financials

Other

2.3

23

BNP Paribas

Financials

France

2.3

24

Goodbaby International

Consumer Goods

China

2.2

25

Sanofi

Health Care

France

2.2

26

East Japan Railway

Consumer Services

Japan

2.2

27

Japan Tobacco

Consumer Goods

Japan

2.2

28

DNB

Financials

Norway

2.1

29

Apache

Oil & Gas

United States

2.1

30

Nomura

Financials

Japan

2.1

31

Bayer

Health Care

Germany

2.1

32

Celgene

Health Care

United States

2.0

33

Total

Oil & Gas

France

2.0

34

Swire Pacific A

Industrials

Hong Kong

1.9

35

CK Hutchison

Industrials

Hong Kong

1.9

36

Telefonica

Telecommunications

Spain

1.7

37

Nokia

Technology

Finland

1.6

38

Whirlpool

Consumer Goods

United States

1.6

39

Alps Electric

Industrials

Japan

1.4

40

Edinburgh Partners

Financials - unlisted

United Kingdom

0.7

41

Gemalto

Technology

Netherlands

0.1

Total equity investments

97.2

Cash and other net assets

2.8

Net assets

100.0

* The investment is in non-voting depositary receipts ** The investment is in non-voting shares

GEOGRAPHICAL DISTRIBUTION

31 December 2017

% of Net Assets

Europe

32.5

Japan

19.8

Asia Pacific

19.6

United Kingdom

12.3

United States

8.3

Latin America

2.4

Other

2.3

Cash and other net assets

2.8

100.0

SECTOR DISTRIBUTION

31 December 2017

% of Net Assets

Financials

31.4

Health Care

18.2

Consumer Goods

12.3

Oil & Gas

11.4

Industrials

10.4

Consumer Services

7.6

Technology

4.2

Telecommunications

1.7

Cash and other net assets

2.8

100.0

As at 31 December 2017, the net assets of the Company were £148,067,000.

16 January 2018

LEI: 2138005T5CT5ITZ7ZX58

ENQUIRIES:

Kenneth Greig

Edinburgh Partners AIFM Limited Tel: 0131 270 3800

The Company's registered office address is:

27-31 Melville Street Edinburgh

EH3 7JF

EP Global Opportunities Trust plc published this content on 16 January 2018 and is solely responsible for the information contained herein.
Distributed by Public, unedited and unaltered, on 16 January 2018 10:04:02 UTC.

Original documenthttps://www.edinburghpartners.com/wp-content/uploads/2015/09/EPGOT-Portfolio-Holdings-31-December-2017-announced-16-01-18.pdf

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