The Emerging Markets Telecommunications Fund, Inc. Announces Performance Data and Portfolio Composition

Fri Oct 2, 10:37 AM

PHILADELPHIA, Oct. 2 /PRNewswire-FirstCall/ -- The Emerging Markets Telecommunications Fund, Inc. (the "Fund") (NYSE Amex: ETF), a closed-end equity fund, announced today its performance data and portfolio composition as of August 31, 2009.

The Fund's total returns for various periods through August 31, 2009 are provided below. (All figures are based on distributions reinvested at the dividend reinvestment price and are stated net-of-fees):

    Period                  NAV Total Return %    Market Price Total Return %
    ------                  ------------------    ---------------------------
                       Cumulative    Annualized   Cumulative    Annualized
                       ----------    ----------   ----------    ----------


    Since inception       255.8           7.7         214.1           6.9
    (June 1992)           -----           ---         -----           ---
    ----------
    10-years               71.5           5.5          96.5           7.0
    --------               ----           ---          ----           ---
    5-years               107.1          15.7         117.5          16.8
    -------               -----          ----         -----          ----
    3-years                22.9           7.1          22.9           7.1
    -------                ----           ---          ----           ---
    1-year                       -12.9                       -11.5
    ------                       -----                       -----

On August 31, 2009, the Fund's net assets amounted to US$149.6 million and the Fund's NAV per share was $18.14.

As of August 31, 2009, the portfolio was invested as follows:

    Portfolio Composition              Geographic Exposure %
    ---------------------              ---------------------
    India                                     14.1
    -----                                     ----
    Hong Kong                                 13.3
    ---------                                 ----
    Mexico                                    11.8
    ------                                    ----
    Russia                                    11.5
    ------                                    ----
    South Africa                               7.0
    ------------                               ---
    Taiwan                                     7.0
    ------                                     ---
    Israel                                     5.6
    ------                                     ---
    Indonesia                                  4.6
    ---------                                  ---
    Portugal                                   4.5
    --------                                   ---
    Hungary                                    4.4
    -------                                    ---
    Chile                                      3.0
    -----                                      ---
    Turkey                                     2.4
    ------                                     ---
    Singapore                                  2.1
    ---------                                  ---
    Thailand                                   2.1
    --------                                   ---
    Poland                                     1.9
    ------                                     ---
    Czech Republic                             1.4
    --------------                             ---
    Malaysia                                   1.4
    --------                                   ---
    Philippines                                1.4
    -----------                                ---
    Brazil                                     0.5
    ------                                     ---

The Fund's ten largest equity holdings as of August 31, 2009, representing 64.6% of net assets, were:

    Stock                                            Percent of
    -----                                            Net Assets
                                                     ----------
    China Mobile Limited                                12.8
    --------------------                                ----
    America Movil SAB de CV                             10.3
    -----------------------                             ----
    Bharti Airtel Limited                                8.7
    ---------------------                                ---
    Mobile Telesystems OJSC                              5.3
    -----------------------                              ---
    Vimpel Communications                                5.1
    ---------------------                                ---
    Bezeq Israeli Telecom Corporation                    4.7
    ---------------------------------                    ---
    MTN Group Limited                                    4.7
    -----------------                                    ---
    Portugal Telecom                                     4.7
    ----------------                                     ---
    Magyar Telecom                                       4.5
    --------------                                       ---
    Telekomunikasi TBK                                   3.8
    ------------------                                   ---

Important Information

Aberdeen Asset Management Inc. has prepared this report based on information sources believed to be accurate and reliable. However, the figures are unaudited and neither the Fund, Aberdeen Asset Investment Services Limited (the Investment Adviser), nor any other person guarantees their accuracy. Investors should seek their own professional advice and should consider the investment objectives, risks, charges and expenses before acting on this information. Aberdeen is a U.S. registered service mark of Aberdeen Asset Management PLC.

Total return figures with distributions reinvested at the dividend reinvestment price are stated net-of-fees and represents past performance. Past performance is not indicative of future results, current performance may be higher or lower. Holdings are subject to change and are provided for informational purposes only and should not be deemed as a recommendation to buy or sell the securities shown. Inception date June 17, 1992.

If you wish to receive this information electronically, please contact: InvestorRelations@aberdeen-asset.com

SOURCE The Emerging Markets Telecommunications Fund, Inc.