February 01, 2013 at 13:39 PM EST
The New Ireland Fund, Inc. Monthly Portfolio Update

BOSTON, MA -- (Marketwire) -- 02/01/13 -- The New Ireland Fund, Inc. (NYSE: IRL) today released an updated Monthly portfolio statement as of January 31, 2013.


Security Name               Shareholding US $ Market Value % of Market Value
----------------------------------------------------------------------------
AER LINGUS GROUP PLC             274,817        477,488.60             0.85%
ARYZTA AG                         73,803      4,086,866.00             7.27%
BANK OF IRELAND                6,101,796      1,184,413.00             2.11%
C&C GROUP PLC                    269,779      1,757,756.94             3.12%
CPL RESOURCES PLC                285,169      1,730,291.52             3.08%
CRH PLC                          300,432      6,488,223.67            11.53%
DCC PLC                           19,286        630,911.79             1.12%
DRAGON OIL PLC                   232,276      2,088,813.50             3.71%
ELAN CORP PLC                    152,261      1,600,263.11             2.84%
FBD HOLDINGS PLC                 129,854      1,921,282.71             3.42%
GLANBIA PLC                       85,568        954,756.54             1.70%
GRAFTON GROUP PLC                156,753        917,495.74             1.63%
ICON PLC                          25,173        737,820.63             1.31%
IFG GROUP PLC                    105,036        192,478.12             0.34%
IRISH CONTINENTAL GROUP PLC       95,317      2,564,386.36             4.56%
KENMARE RESOURCES PLC          2,627,445      1,383,804.70             2.46%
KERRY GROUP PLC                  111,776      5,864,182.89            10.42%
KINGSPAN GROUP PLC               190,074      2,205,963.25             3.92%
ORIGIN ENTERPRISES PLC           372,042      2,211,951.11             3.93%
PADDY POWER PLC                   31,048      2,575,041.80             4.58%
PROTHENA CORP PLC                  3,714         22,319.23             0.04%
RYANAIR HOLDINGS PLC             911,868      6,807,758.00            12.10%
RYANAIR HOLDINGS PLC              40,511      1,577,903.45             2.81%
SAP AG                            17,752      1,453,992.07             2.58%
SMURFIT KAPPA GROUP PLC          182,608      2,534,501.55             4.51%
TOTAL PRODUCE PLC                552,258        449,782.66             0.80%
TVC HOLDINGS PLC                 385,973        442,713.82             0.79%
UNITED DRUG PLC                  218,613        953,143.33             1.69%

The holdings are subject to change at any point in time hereafter.

Investment Objective: The New Ireland Fund, Inc., (NYSE: 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.

The New Ireland Fund, Inc. is managed by Kleinwort Benson Investors International Ltd., a wholly owned subsidiary of Kleinwort Benson Investors Dublin Ltd.

Website: newirelandfund.com

The New Ireland Fund, Inc.
(800) 468-6475

Related Stocks:
Stock Market XML and JSON Data API provided by FinancialContent Services, Inc.
Nasdaq quotes delayed at least 15 minutes, all others at least 20 minutes.
Markets are closed on certain holidays. Stock Market Holiday List
By accessing this page, you agree to the following
Privacy Policy and Terms and Conditions.
Press Release Service provided by PRConnect.
Stock quotes supplied by Six Financial
Postage Rates Bots go here