Net Asset Value(s)

SMALL COMPANIES DIVIDEND TRUST PLC The Company announces: Total Assets (including unaudited revenue reserves at 28 February 2011) of £23.31m Net Assets (including unaudited revenue reserves at 28 February 2011) of £18.13m The Net Asset Value (NAV) including unaudited current period revenue at 28 February 2011 was: Per Ordinary share (bid price) 111.57p Ordinary share price 98.75p Discount to NAV 11.49% The Net Asset Value (NAV) excluding current period revenue for the period 1 May 2010 to 28 February 2011 was: Issued share capital Per Ordinary share (bid price) 110.37p 16,250,000 Ordinary shares have an undated life Bank loan £4m, overdraft £0.81m Fair value of interest rate SWAP £367,962 Top 20 Holdings as at 28 February 2011 Company % of portfolio 1 Sinclair (W) Holdings 4.65 2 Macfarlane Group 4.32 3 Portmerion Group 4.13 4 Alumasc Group 3.53 5 S & U 3.50 6 Victoria 3.06 7 Stadium Group 2.83 8 Cineworld Group 2.79 9 Chesnara 2.68 10 Marshalls 2.46 11 Jarvis Securities 2.42 12 Fiberweb 2.39 13 Sanderson Group 2.38 14 Beazley 2.34 15 Hansard Global 2.25 16 Avesco Group 2.25 17 Trifast 2.13 18 Arbuthnot Banking 2.12 19 Consort Medical 2.10 20 Clarke (T) 2.09 Balance held in 36 43.58 holdings 100.00
UK 100

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