Net Asset Value(s)

SMALL COMPANIES DIVIDEND TRUST PLC The Company announces: Total Assets (including unaudited revenue reserves at 4 February 2011) of £22.22m Net Assets (including unaudited revenue reserves at 4 February 2011) of £17.85m The Net Asset Value (NAV) including unaudited current period revenue at 4 February 2011 was: Per Ordinary share (bid price) 109.84p Ordinary share price 100.25p Discount to NAV 8.73% The Net Asset Value (NAV) excluding current period revenue for the period 1 May 2010 to 4 February 2011 was: Issued share capital Per Ordinary share (bid price) 108.86p 16,250,000 Ordinary shares have an undated life Bank loan £4m, overdraft £0.45m Fair value of interest rate SWAP £372,701
UK 100

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