Amended Net Asset Value(s) 30.01.08

The issuer advises that the following replaces the Daily NAV announcement released on 30 January 2008 at 10:59:31 under Release Reference Number PRNUK-3101081059-85C0 Daily NAV Announcement Edinburgh Investment Trust The net asset value (unaudited) for the above fund as at close of business on 30/01/2008 was: With debt at par (Ex Income): 479.34p. With debt at fair value (Ex Income): 454.15p. With debt at par (Cum Income): 485.47p. With debt at fair value (Cum Income): 460.29p. NB. The securities used to calculate the NAV have been valued on a bid basis. The valuation of the assets is as at each local market close or, where appropriate, adjusted for changes in the fair value of these assets at the valuation time, 17:00 GMT. Revenue to date is included in the NAV calculation.
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