Correction : Net Asset Value(s)

The European Investment Trust Plc NAV dated 12 June 2012 was released under the company name RENN Universal Growth Investment Trust Plc which was under Ref: PRNUK-1306121527-DF09. The European Investment Trust plc Based on a bid price valuation, the unaudited net asset value per Ordinary Share of the Company as at 12 June 2012 was 546.64p including estimated current period revenue and 533.71p excluding current period revenue. This is based on 42,069,371 Ordinary Shares, being the number of shares in issue and circulation. 13 June 2012
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