Net Asset Value(s)

The following Net Asset Values (NAV) for The Throgmorton Trust PLC are released by AXA Framlington Investment Management Limited as at 31 October 2006. Ordinary NAV (Restated for changes in UK accounting standards) at Mid valuation - Prior charges at par 198.58p at Bid valuation - Prior charges at par 195.92p Ordinary NAV at Mid valuation - Prior charges at Market 191.81p Value at Bid valuation - Prior charges at Market 189.15p Value Total Fund Value (at Mid valuation inc. £374,600,381 revenue)
Investor Meets Company
UK 100