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Royce Value Trust (MARKET: RVT | NAV: XRVTX)

Closed-End Fund

  • NAV as of 8/7/2008  $16.66
  • Daily NAV change  -$0.21 (-1.24%)

Management Team

Portfolio Managers

Charles M. Royce

Assistant Portfolio Managers

Chris E. Flynn
Michael W. Hveem
David A. Nadel

Top 10 Positions

As of Quarter-End 6/30/08

  Share of Net Assets
AllianceBernstein Holding L.P. 1.8%
Ritchie Bros. Auctioneers 1.5%
Lincoln Electric Holdings 1.4%
Ash Grove Cement Cl. B 1.2%
Nordson Corporation 1.2%
SEACOR Holdings 1.1%
PAREXEL International 1.0%
Sotheby's 1.0%
Woodward Governor 1.0%
Forward Air 0.9%
Top 10 as % of Total 11.9%

Objective and Strategy

Royce Value Trust is a closed-end small-cap fund with more than 15 years of performance history. The Fund seeks long-term capital appreciation by investing primarily in small capitalization companies using a disciplined value approach.

Relative Risk Spectrum

Risk Assessment

go View the complete spectrum

Performance

Average Annual Total Returns

As of Quarter-End 6/30/08

  2Q* YTD* 1YR 3YR
XRVTX -1.12% -11.67% -15.53% 7.05%
Russell 2000 0.58% -9.37% -16.19% 3.79%
  5YR 10YR 15YR 20YR
XRVTX 12.55% 9.49% 11.68% 12.06%
Russell 2000 10.29% 5.53% 8.92% 9.48%
Inception Date: 11/26/1986

* Not Annualized.

Important Performance and Expense Information

All performance information reflects past performance, is presented on a total return basis and reflects the reinvestment of distributions. Past performance is no guarantee of future results. Current performance may be higher or lower than performance quoted. The market price of the Fund's shares will fluctuate, so that shares may be worth more or less than their original cost when sold.

The Fund normally invests in small- and micro-cap companies, which may involve considerably more risk than investing in a more diversified portfolio of larger-cap companies. The Russell 2000 is an unmanaged, capitalization-weighted index of domestic small-cap stocks. It measures the performance of the 2,000 smallest publicly traded U.S. companies in the Russell 3000 index.

Fund Statistics

Symbol: Market Price RVT
Symbol: NAV XRVTX
Fund Net Assets (Attributable to Common Stock) $1.24 billion
Number of Holdings 592
Minimum Investment n/a
Cusip Number 780910105
Inception Date 11/26/1986
Benchmark Index Russell 2000

Growth of Hypothetical $10,000

Invested 11/26/1986

As of Quarter-End 6/30/2008

XRVTX vs Russell 2000

Capital Structure:

Publicly Traded Securities Outstanding at 3/31/08

60.0 Million Shares of Common Stock
  • $1,042 Million (NAV)
6.00% Cumulative Preferred Stock
  • $220 Million
© Royce & Associates, LLC, 1414 Avenue of the Americas, New York, NY 10019, (800) 221-4268. All rights reserved. Distributor of The Royce Fund and Royce Capital Fund: Royce Fund Services, Inc., a wholly owned subsidiary of Royce & Associates. View our Policies & Procedures, including, among others, our Sarbanes-Oxley Code of Ethics, Privacy Policy and Proxy Voting Guidelines and Procedures.