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BlackRock Frontiers Investment Trust Plc - Portfolio Update


News provided by

BlackRock Frontiers Investment Trust Plc

23 Jul, 2026, 15:45 GMT


 

BLACKROCK FRONTIERS INVESTMENT TRUST PLC (LEI: 5493003K5E043LHLO706)

 

All information is at 30 June 2026 and unaudited.

Performance at month end with net income reinvested.

 

 

One
month
%

Three
months
%

One
year
%

Three
years
%

Five
years
%

Since  
Launch*
%

Sterling:

 

 

 

 

 

 

Share price

-0.8

13.2

25.9

58.8

95.1

245.4

Net asset value

0.8

6.2

20.0

41.8

78.5

243.6

Benchmark (NR)**

0.3

2.6

18.4

30.2

44.9

128.3

MSCI Frontiers Index (NR)

1.9

10.5

39.3

79.8

57.7

187.1

MSCI Emerging Markets Index (NR)

0.1

23.3

48.2

78.4

 

47.3

164.4

 

 

 

 

 

 

 

US Dollars:

 

 

 

 

 

 

Share price

-2.3

14.0

21.9

65.8

87.5

195.5

Net asset value

-0.8

6.9

16.2

48.1

71.6

193.5

Benchmark (NR)**

-1.2

3.3

14.6

36.0

39.2

95.9

MSCI Frontiers Index (NR)

0.3

11.2

34.9

87.7

51.5

144.4

MSCI Emerging Markets Index (NR)

-1.4

24.1

43.5

86.2

41.6

125.1

 

Sources: BlackRock and Standard & Poor’s Micropal

* 17 December 2010.

** The Company’s benchmark changed to MSCI Frontier + Emerging ex Selected Countries Index (net total return, USD) effective 1/4/2018.
 

At month end

 

US Dollar

 

Net asset value - capital only:

241.83c

Net asset value - cum income:

248.05c

Sterling:

 

Net asset value - capital only:

182.20p

Net asset value - cum income:

186.88p

Share price:

189.00p

Total assets (including income):

£311.5m

Premium to cum-income NAV:

1.13%

Gearing:

Nil

Gearing range (as a % of gross assets):

0-20%

Net yield*:

4.0%

Ordinary shares in issue**:

164,816,520

Ongoing charges***:

1.42%

Ongoing charges plus taxation and performance fee****:

2.87%

 

*The Company’s yield based on dividends announced in the last 12 months as at the date of the release of this announcement is 4.0% and includes the 2026 interim dividend of 3.85 cents per share, declared on 28 May 2026, payable to shareholders on 26 June 2026 and the 2025 final dividend of 6.35 cents per share, declared on 10 December 2025 paid to shareholders on 26 February 2026.

** Excluding 77,006,281 ordinary shares held in treasury.

***The Company’s ongoing charges are calculated as a percentage of average daily net assets and using the management fee and all other operating expenses excluding performance fees, finance costs, direct transaction costs, custody transaction charges, VAT recovered, taxation and certain non-recurring items for Year ended 30 September 2025.

**** The Company’s ongoing charges are calculated as a percentage of average daily net assets and using the management fee and all other operating expenses and including performance fees but excluding finance costs, direct transaction costs, custody transaction charges, VAT recovered, taxation and certain non-recurring items for Year ended 30 September 2025.

 

Sector
Analysis

Gross market value as a % of net assets*

 

Country
Analysis

Gross market value as a % of net assets*

 

 

 

 

 

Financials

60.5

 

United Arab Emirates

13.8

Communication Services

9.1

 

Saudi Arabia

12.4

Real Estate

8.4

 

Kazakhstan

10.3

Energy

8.3

 

Egypt

8.8

Consumer Discretionary

6.7

 

Kenya

7.2

Industrials

5.2

 

Thailand

6.5

Consumer Staples

3.9

 

Poland

6.4

Materials

3.2

 

Indonesia

6.0

Health Care

1.7

 

Pakistan

5.3

Utilities

1.2

 

Georgia

5.2

Information Technology

1.1

 

Hungary

4.7

 

-----

 

Vietnam

4.0

 

109.3

 

Philippines

3.9

 

-----

 

Bangladesh

3.9

Short Positions

-1.0

 

Greece

2.5

 

=====

 

Argentina

2.2

 

 

 

Uzbekistan

1.9

 

 

 

Nigeria

1.5

 

 

 

Chile

1.2

 

 

 

Multi-International

1.1

 

 

 

Turkey

0.5

 

 

 

 

-----

 

 

 

 

109.3

 

 

 

 

-----

 

 

 

Short Positions

-1.0

 

 

 

 

=====

 

 

 

 

 

*reflects gross market exposure from contracts for difference (CFDs).

 

Market Exposure
 

 

31.07

  2025

    %

31.08

  2025

    %

30.09

  2025

    %

31.10

  2025

    %

30.11

  2025

    %

31.12

  2025

    %

31.01

  2026

    %

28.02

  2026

    %

31.03
2026

    %

30.04
2026

    %

31.05
2026

    %

30.06
2026

    %

Long

113.0

114.3

112.2

114.0

110.5

110.9

116.7

121.3

106.7

103.6

101.9

109.3

Short

2.5

2.4

1.7

1.6

1.5

1.9

1.8

2.0

1.6

2.1

2.1

1.0

Gross

115.5

116.7

113.9

115.6

112.0

112.8

118.5

123.3

108.3

105.7

104.0

110.3

Net

110.5

111.9

110.5

112.4

109.0

109.0

114.9

119.3

105.1

101.5

99.8

108.3

 

 

Ten Largest Investments

 

Company

Country of Risk

Gross market value as a % of net assets

 

 

 

OTP Bank

Hungary

4.7

Kaspi.Kz JCS

Kazakhstan

4.7

Bank Pekao

Poland

4.3

Equity Group

Kenya

4.1

Commercial International Bank

Egypt

4.1

Halyk Savings Bank

Kazakhstan

3.9

Etihad Etisalat

Saudi Arabia

3.6

Emaar Properties

United Arab Emirates

3.2

Bank Mandiri

Indonesia

3.1

TBC Bank Group Plc

Georgia

3.1


                     

Commenting on the markets, Sam Vecht and Emily Fletcher, representing the Investment Manager noted:
 

The Company’s NAV returned -0.8% in June 2026, outperforming the MSCI Frontier + Emerging ex Selected Countries Index (“Benchmark Index”), which returned -1.2%. For reference, the MSCI Emerging Markets Index returned -1.4% while the MSCI Frontier Markets Index returned +0.3% over the same period. All performance figures are on a US Dollar basis with net income reinvested.  

 

Within our universe, Colombia (+12.2%) and Kenya (+10.1%) were among the standout performers. Colombian equities rallied supported by a broader political re-rating after candidate Abelardo de la Espriella won the runoff by a narrower-than-expected margin. Kenyan financials performed strongly on the back of robust earnings, sustained profitability and improving investor sentiment, with banks leading the broader market higher.

 

At the stock level, Kenyan banks KCB Group (+18.0%) and Equity Group (+7.7%) were the biggest contributors, rising in line with the market. Both banks were supported by robust Q1 results announced in late May, with the latter also announcing a 35% higher dividend compared to previous year. GB Auto (+29.5%), a major Egyptian automotive company, also surged following solid Q1 2026 earnings reported in May.

 

On the flipside, energy-related names detracted as oil prices retraced towards pre-conflict levels following the easing of geopolitical tensions in the Middle East. Argentina's state-controlled oil and gas company YPF (-14.2%) was the largest detractor, giving back some of last month's gains amid profit-taking and weaker crude prices. Indonesia's largest natural gas company, Perusahaan Gas Negara (-20.3%), and Saudi chemicals producer Yansab (-13.4%) also came under pressure as the decline in oil prices weighed on sentiment across the energy complex.

 

We re-initiated a position in Georgian bank Lion Finance, where we see scope for sustainability of the bank's returns and continued earnings compounding at attractive valuation. We also initiated a position in Saudi-Arabia based insurance company Tawuniya, supported by a favourable industry backdrop in Saudi Arabia. We expect earnings growth to remain strong, driven by the ongoing enforcement of health insurance compliance and a benign competitive environment. Elsewhere, we added to electronic payments network, Fawry, in Egypt, rebuilding the position after previously trimming on strength, as we continue to see attractive upside.

 

Looking ahead, we remain constructive on the outlook for smaller emerging and frontier markets.   Valuations across our investment universe remain attractive, both in absolute and relative terms. Many of these markets are still under-researched, and we believe this creates fertile ground for finding high-conviction, alpha-generating opportunities.

 

Sources:

1 BlackRock as at 30 June 2026  

2 MSCI as at 30 June 2026

 

23 July 2026

 

ENDS

 

Latest information is available by typing www.blackrock.com/uk/brfi on the internet, "BLRKINDEX" on Reuters, "BLRK" on Bloomberg or "8800" on Topic 3 (ICV terminal). Neither the contents of the Manager’s website nor the contents of any website accessible from hyperlinks on BlackRock’s website (or any other website) is incorporated into, or forms part of, this announcement.

 



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