Net Asset Value(s) (Correction)

ALLIANCE TRUST PLC Correction to NAV. The NAV announcement issued this morning was incorrect. The correct values follow: At the close of business on Friday, 6 February 2009, the unaudited net asset value per ordinary share of 2.5p, valued on a bid price basis: 1) excluding income after tax, interest and management expenses arising, of 5p per ordinary share is 317.4p and 2) including income after tax, interest and management expenses arising is 322.2p. For further information, please contact:- Ian Anderson Alliance Trust PLC Tel. +44 (0)1382 201700
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