Investment Trusts

CQS New City High Yield Fund Ltd

NCYF:LSE

CQS New City High Yield Fund Ltd

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  • Price (GBX)51.60
  • Today's Change-0.20 / -0.39%
  • Shares traded513.31k
  • 1 Year change+7.95%
  • Beta0.8271
Data delayed at least 20 minutes, as of Sep 17 2024 16:35 BST.
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About the company

CQS New City High Yield Fund Limited is a Jersey-based closed-ended investment company. The Company holds a variety of different investments in a range of issues located in different geographies and operating in different sectors. Its objective is to provide investors with a high gross dividend yield and the potential for capital growth by mainly investing in high yielding fixed interest securities. The Company invests predominantly in fixed income securities, including, but not limited to, preference shares, loan stocks, corporate bonds (convertible and/or redeemable) and government stocks. The Company also invests in equities and other income yielding securities. The Company's classification of investment portfolio by sector includes financials, energy, industrials, consumer discretionary, consumer staples, information technology, real estate and materials. CQS (UK) LLP acts as the investment manager of the Company.

  • Revenue in GBP (TTM)23.30m
  • Net income in GBP17.90m
  • Incorporated2007
  • Employees0.00
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Profile

Management group(s)CQS (UK) LLP
AIC sectorDebt - Loans & Bonds
ISINJE00B1LZS514
Launch date09 Dec 2004
Share typeOrdinary Share
StructureInvestment Trust
Base currencyGBP

Objective

The investment objective is to provide investors with a high gross dividend yield and a potential for capital growth by mainly investing in high yielding fixed interest securities. The Company invests predominantly in fixed income securities, including, but not limited to, preference shares, loan stocks, corporate bonds (convertible and/or redeemable) and government stocks. The Company also invests in equities and other income- yielding securities.

Managed by

Ian Francis

Management & contract fees

Management fee is 0.8% p.a. of total assets up to GBP 200m ,0.70% p.a. of the total assets from GBP200 m to GBP300 m,and 0.60% p.a. in excess of GBP 300m. Management agreement terminable by either party on 12 months notice.

Peer analysis

Key Information
CompanyRevenue (TTM)Net income (TTM)Market capEmployeesPrice/earnings (TTM)Price/book value (MRQ)Price/cash flow (TTM)Price/sales (TTM)EPS (excl. extraordinary items, TTM)EPS (incl. extraordinary items, TTM)Revenue per share (TTM)Book value per share (MRQ)Asset turnover (TTM)Inventory turnover (TTM)Receivables turnover (TTM)Revenues per employee (TTM)Return on avg assets (TTM)Return on avg assets (5 yr avg)Return on investment (TTM)Return on investment (5 yr avg)Gross margin (TTM)Gross margin
(5 yr avg)
Net profit margin (TTM)Net Profit margin
(5 yr avg)
Quick ratio (MRQ)Interest coverage (TTM)Total debt to capital (MRQ)Payout ratio
(5 yr avg)
Revenue
(YOY change %)
Revenue
(5 yr growth rate)
Net income
(YOY change %)
Net income
(5 yr growth rate)
Capital expenditure
(5 yr growth rate)
Dividend
(5 yr growth rate)
BlackRock Frontiers Investment Trust PLC68.55m56.25m270.69m0.004.810.9003--3.950.29710.29710.36211.590.233--16.16--19.125.7520.215.9784.6076.9882.0669.39--608.250.0000575.08385.55--303.03----1.57
Hansa Investment Company Ltd96.05m91.42m272.40m0.003.000.6046--2.840.76210.76210.80063.790.2336--120.74--22.237.8222.267.8696.9391.7995.1887.61----0.0013.641,346.5733.62858.2538.27---27.52
Montanaro European Smllr Cmpns Trst PLC18.37m14.63m273.72m0.0018.710.8753--14.900.07720.07720.0971.650.0577--20.82--4.598.054.718.2185.4490.1079.6486.27----0.0298.07194.29-3.86163.12-5.86--4.56
Jpmorgan Asia Growth & Income PLC-1.58m-5.83m274.99m0.00--0.8883-----0.0564-0.0564-0.01743.88-0.0044-------1.623.33-1.633.34--86.59--77.27----0.00123.48136.64-3.51129.28-4.21--0.00
Henderson High Income Trust plc26.02m21.42m287.48m0.0010.120.9749--11.050.1650.1650.20041.710.0966--12.94--7.955.258.996.0184.6483.5382.3380.33----0.08287.42445.51--294.34----1.52
Real Estate Credit Investments Ltd31.36m21.86m288.46m0.0013.620.8971--9.200.09540.09540.13711.450.0813--9.12--5.674.166.595.2586.5984.3969.6966.65----0.0679157.962.264.416.352.59--0.00
Schroder Japan Trust PLC50.89m46.93m289.81m0.006.330.9106--5.690.39160.39160.4242.720.1462--41.73--13.483.0814.453.2295.3083.0492.2172.54----0.117559.39413.872.39904.202.78----
CQS New City High Yield Fund Ltd23.30m17.90m292.10m0.0015.341.09--12.540.03380.03380.04490.4750.0829--4.30--6.373.167.273.6681.6476.6576.8268.52----0.1215191.840.3139-11.61-20.26-22.57--0.3148
STS Global Income & Growth Trust PLC13.66m10.38m295.97m0.0020.511.03--21.670.11220.11220.14482.240.0435--0.4468--3.306.033.896.4484.3790.6175.9883.15----0.046843.251,268.61-10.02337.80-12.45--0.9112
Gore Street Energy Storage Fund PLC2.27m-5.66m298.01m0.00--0.5512--131.43-0.0114-0.01140.00471.070.0041--3.65---1.038.42-1.038.48--82.25-249.5681.03----0.0092.68-96.91---108.92----13.40
Gresham House Energy Storage Fund PLC-100.10m-110.11m301.60m0.00--0.4106-----0.1945-0.1945-0.17871.29-0.1263-------13.90---13.92--------------0.00---144.40---150.71------
Literacy Capital PLC29.26m20.88m303.58m0.0014.590.9619--10.380.34570.34570.48525.240.0913--91.78--6.52--6.64--90.24--71.36----18.580.0246--------------
Third Point Investors Ltd87.76m70.38m306.27m0.008.081.32--3.492.762.763.3416.990.2034--9,283.06--16.315.6516.335.6582.2159.6780.2054.59----0.00--117.15--104.50------
Brooks Macdonald Group plc128.26m6.46m306.43m509.0049.072.0118.132.390.3790.3797.839.25----------8.25--9.90----5.0312.33----0.024474.773.623.96-64.421.981.608.87
European Assets Trust PLC30.34m24.76m309.66m0.0012.500.8735--10.210.06880.06880.08430.98460.0801--7.05--6.545.546.985.7487.5488.5881.6481.38----0.0772105.54123.75--120.04-----6.75
VH Global Sustainable Enrgy Opprtnts PLC25.91m19.13m311.67m0.0017.540.7055--12.030.04460.04460.06251.110.0567--45.14--4.18--4.19--82.98--73.83------0.00--233.62--248.81------
Data as of Sep 17 2024. Currency figures normalised to CQS New City High Yield Fund Ltd's reporting currency: UK Pound GBX

Institutional shareholders

2.84%Per cent of shares held by top holders
HolderShares% Held
BlackRock Investment Management (UK) Ltd.as of 31 Aug 20246.91m1.25%
Vanguard Global Advisers LLCas of 30 Jun 20242.95m0.54%
Legal & General Investment Management Ltd.as of 31 Jul 20241.74m0.32%
State Street Global Advisors Ltd.as of 05 Sep 20241.04m0.19%
FIL Investments Internationalas of 31 Jul 2024756.59k0.14%
HSBC Global Asset Management (UK) Ltd.as of 31 Jul 2024647.57k0.12%
BlackRock Advisors (UK) Ltd.as of 31 Jul 2024468.31k0.09%
Canada Life Asset Management Ltd.as of 31 May 2024424.89k0.08%
abrdn Alternative Investments Ltd.as of 05 Jul 2024420.02k0.08%
abrdn Investments Ltd.as of 31 May 2024331.68k0.06%
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Data from 30 Jun 2024 - 12 Sep 2024Source: FactSet Research Systems Inc.
Data Provided by LSEG
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