Net Asset Value(s) - Amendment

The issuer advises that the following replaces the Daily NAV announcement released on 15 November 2007 at 11:01:08 under Release Reference Number PRNUK-1511071101-276B Daily NAV Announcement Fidelity Special Values Plc The net asset value (unaudited), with securities valued at bid, for the above fund at close of business on 14/11/2007 was: With debt at par: 611.06p. With debt at fair value: 611.85p. NB. Revenue to date is included in the Net Asset Value calculation.
Investor Meets Company
UK 100