Net Asset Value(s)

SMALL COMPANIES DIVIDEND TRUST PLC The Company announces: Total Assets (including unaudited revenue reserves at 30 June 2014) of £40.06m Net Assets (including unaudited revenue reserves at 30 June 2014) of £30.60m The Net Asset Value (NAV) at 30 June 2014 was: Number of shares in issue Per Ordinary share (bid price) - including unaudited current period revenue* 184.89p 16,550,000 Per Ordinary share (bid price) - excluding current period revenue* 181.25p Ordinary share price 183.75p Discount to NAV (0.62)% Ordinary shares have an undated life ZDP share 111.31p 8,500,000 ZDP shares are held in a subsidiary and have a redemption date of 8 January 2018 *Current period revenue covers the period 01 May 2013 to 30 June 2014, including a one off special dividend from Avesco PLC of £500,500 equivalent to 3.02 pence per Ordinary share. Top 20 Holdings as at 30 June 2014 was: Name of company % of portfolio 1 KCOM Group 2.32 2 Connect Group 2.28 3 Jarvis Securities 2.25 4 GVC Holdings 2.19 5 Braemar Shipping 2.17 6 Clarke (T) 2.16 7 Marshalls 2.15 8 Personal Group 2.08 9 S & U 2.03 10 St Ives 2.03 11 Marstons 1.99 12 Cineworld Group 1.96 13 Town Centre Securities 1.93 14 Randall & Quilter 1.85 15 Tritax Big Box 1.82 16 Go-Ahead Group 1.78 17 Dairy Crest Group 1.77 18 MacFarlane Group 1.76 19 Ladbrokes 1.75 20 Alumasc Group 1.75 Balance held in 57 holdings 59.98 100.00
UK 100

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