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PRESS
RELEASE
02/22/2010
The New Ireland Fund Quarterly Portfolio Update
Boston, February 22, 2010 (PR Newswire etc) - The New Ireland Fund, Inc. today released its Quarterly portfolio update as of January 31, 2010.
Investment Objective; The New Ireland Fund, Inc., (N.Y.S.E. - IRL) a closed-end diversified investment company, seeks long-term capital appreciation through investment of at least 80% of its assets in a portfolio of Irish securities.

Total Net Assets: US $54,672,308
Net Asset Value: $ 8.06
Market Price: $ 6.84
Prem/(Disc): (15.14%)
The New Ireland Fund Inc. is managed by Bank of Ireland Asset Management (U.S.) Limited, an indirect wholly owned subsidiary of Bank of Ireland Group.
Website: www.newirelandfund.com
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