URBANA CORPORATION

UNAUDITED Summary of Investment Portfolio as at January 6, 2023

Number of

% of Portfolio

Securities

Description

Cost

Fair Value

Fair Value

Equity Investments

350,000

Bank of America Corp

4,882,387

16,234,638

4.47%

110,000

Cboe Global Markets, Inc.

3,637,004

18,311,097

5.04%

150,000

Citigroup Inc.

7,632,146

9,566,082

2.63%

715,599

Caldwell Canadian Value Momentum Fund

13,703,577

14,760,594

4.07%

20,000

Canadian Imperial Bank of Commerce

1,103,234

1,131,200

0.31%

100,000

Intercontinental Exchange

4,153,846

14,140,520

3.89%

200,000

KKR & Co. Inc. Class A

7,516,623

12,989,328

3.58%

250,000

Morgan Stanley

6,933,526

29,507,720

8.13%

1,600,000

Real Matters Inc.

6,352,346

6,768,000

1.86%

4,000,000

Tamarack Valley Energy Ltd.

10,719,252

16,720,000

4.60%

2,500,000

Whitecap Resources Inc.

8,776,111

25,175,000

6.93%

6,047,895

FundThrough Inc. Class A Preferred

6,250,000

9,132,321

2.52%

800,000

Caldwell Financial Ltd.

1,826,650

3,168,000

0.87%

84,012

Caldwell Growth Opportunities Fund

703,437

575,652

0.16%

13,480,878

CNSX Markets Inc. (Canadian Securities Exchange)

8,168,349

80,885,268

22.28%

1,544,236

Evolve Funds Group Inc. Class B Preferred

1,772,788

4,648,150

1.28%

3,000,000

Evolve Funds Group Inc. Class C Preferred

2,130,658

9,030,000

2.49%

771,638

Evolve Funds Group Inc. Class D Preferred

771,638

771,638

0.21%

4,538,460

Four Lakes Capital Fund Limited Partnership

4,999,998

7,853,537

2.16%

1,195,246

EFG Management Holdings Inc. Class A Common

3,597,690

3,597,690

0.99%

498,041

EFG Management Holdings Inc. Class E Common

1,499,103

1,499,103

0.41%

15,259,886

Highview Financial Holdings Inc.

11,546,243

19,837,852

5.46%

5

Integrated Grain Processors Co-operative Inc. Memb Shs

500

500

0.00%

1,936,097

Integrated Grain Processors Co-operative Inc. E Preferred

3,153,691

8,906,046

2.45%

27,428

Kognitiv Corporation Class A-2 Preferred

353,000

252,525

0.07%

122,222

Kognitiv Corporation

2,404,596

144,985

0.04%

380,000

Lyceum CME Inc. Class B Preferred

1,900,000

1,900,000

0.52%

1,327,620

Miami International Holdings, Inc.

12,257,268

14,245,469

3.92%

2,350,000

Radar Capital Inc. Class A

50

-

0.00%

16,755,081

Radar Capital Inc. Class B

11,561,006

4,681,370

1.29%

208,290

Varo Money, Inc. Common

2,565,000

2,601,632

0.72%

1,750,000

Tetra Trust Company Class A Common

1,750,000

1,995,000

0.55%

5,622

Urbana International Inc.(i)

10,479,725

11,345,455

3.12%

465,381

Vive Crop Protection Inc. Class A2 Preferred

314,132

314,132

0.09%

455,671

Vive Crop Protection Inc. Class B1 Preferred

45,567

209,609

0.06%

6,500,000

Vive Crop Protection Inc. Class B3 Preferred

3,250,000

3,250,000

0.90%

2,492,279

Vive Crop Protection Inc. Class C1 Preferred

1,629,452

1,629,452

0.45%

Debt Investments

3,000,000

Highview Financial Holdings Inc. Conv Promissory Note

3,000,000

3,000,000

0.83%

1,000

Integrated Grain Processors Co-operative Inc. Debenture

1,000,000

1,000,000

0.28%

1,000,000

Kognitiv Corporation Convertible Note

1,000,000

1,000,000

0.28%

Cash

323,928

323,928

0.09%

Total

$ 175,664,520

$

363,103,494

100.00%

Private Exchanges/Investments

54.39%

Total Net Assets (NAs) as at January 6, 2023

Shares outstanding:

10,000,000

Common shares

31,395,100 Non-Voting Class A shares

41,395,100

ASSETS

Market Value of Investment Portfolio

$

363,103,494

Other Assets

2,628,231

TOTAL ASSETS

$

365,731,726

LIABILITIES

BMO Demand Loan

33,000,000

Accounts Payable and Accrued Liabilities

4,872,344

Provision for Current Taxes

-

Provision for Deferred Taxes

24,061,000

TOTAL LIABILITIES

$

61,933,344

NAs per share (II)

$

7.34

TOTAL NET ASSETS (after tax) as at January 6, 2023

$

303,798,382

Closing price January 6, 2023: URB $4.27 URB.A $3.97

USD/CAD exchange rate: 1.34800

  1. Urbana International Inc., a wholly-owned subsidiary of Urbana, formed for the sole purpose of investing in Blue Ocean Technologies, LLC ("Blue Ocean"), holds 5,621.5 units of Blue Ocean.
  1. NAs per share reflects the liability of a dividend payable of $0.11 per share to be paid on January 31, 2023.

K:UrbanaNAVsweekly NAVsweekly NAV 2023nav 2023.01.06.xls

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Disclaimer

Urbana Corporation published this content on 06 January 2023 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 10 January 2023 16:33:04 UTC.