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Company Name % of Total Stock Portfolio
1 Commonwealth Bank 8.3%
2 Macquarie Group 7.8%
3 BHP Group 7.5%
4 APA Group 6.6%
5 Transurban Group 6.3%
6 Wesfarmers Limited 5.4%
7 Woolworths Limited 5.1%
8 National Australia Bank 4.6%
9 TPG Telecom Limited 3.7%
10 ARB Corporation 2.9%
11 Sonic Healthcare 2.9%
12 Ramsay Healthcare 2.8%
13 Woodside Petroleum 2.5%
14 ASX Limited 2.5%
15 Harvey Norman Holdings 2.3%
16 Telstra Corporation 2.3%
17 Coles Group 1,8%
18 Magellan Financial Group 1.6%
19 Invocare Limited 1.6%
20 Fortescue Metals Group 1.5%
21 New Hope Corporation 1.5%
22 Amcor 1.5%
23 Rio Tinto Limited 1.5%
24 Goodman Group Limited 1.5%
25 AGL Energy Limited 1.2%
Cash and cash equivalents 3.9%
Total of Top 25 plus
cash and cash equivalents
91.1%

Business Overview

BKI is a research driven, Listed Investment Company, investing for the long term in profitable, high yielding, well managed companies. Listed on the Australian Stock Exchange (BKI.ASX) with the equity portfolio managed by Contact Asset Management, an investment in BKI gives shareholders access to a diversified Australian equity portfolio.

Growing Fully Franked Dividends

BKI’s Board & Portfolio Managers are shareholders in BKI. We invest for the long term and focus on creating wealth for all shareholders by keeping costs low and increasing fully franked dividends and capital growth.

As at 31 January 2021, using the FY 2021 interim dividend of 2.00cps, FY 2020 Final Ordinary Dividend of 2.32cps, and FY 2020 Final Special Dividend of 1.00cps and a share price of $1.57, the historical grossed-up dividend yield is 4.8%.

Pre-Tax Net Tangible Assets: $1.56
Post-Tax Net Tangible Assets: $1.48
NTA calculations are before providing for the Interim Dividend.

Board of Directors

Robert Millner (Chairman), Alex Payne, David Hall, Ian Huntley, Jaime Pinto (Company Secretary).

Investment Management
Contact Asset Management provides investment management services in accordance with the directions of the BKI Board and BKI Investment Committee.
Tom Millner (Portfolio Manager)
Will Culbert (Portfolio Manager)

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**Includes FY2021 Interim Divdend of 2.00cps, FY2020 Final Ordinary Dividend of 2.32cps and FY2020 Final Special Dividend of 1.00cps.
# Based on share price as at 31 January 2021. Grossed up yield includes franking credits and is based on a tax rate of 30%.