Correction: Net Asset Value(s)

The issuer wishes to advise that the Net Asset Values announced yesterday (3 April 2006) were in fact a copy of the previous day. The correct Net Asset Values are enclosed as below for the close of business on 31 March 2006. Please accept our apologies for any inconvenience caused. INVESCO Asset Management Limited HEADLINE: Net Asset Value It is announced that at the close of business on 31 March 2006, the unaudited net asset values per share (AITC basis) of the following investment trust company managed by INVESCO Asset Management Limited is:- NAVs with Debt at Par & Fair Value Company Undiluted Diluted Undiluted Diluted Capital Capital Cum Cum Income Income (pence) (pence) (pence) (pence) INVESCO Asia Trust plc Note 1 99.21 - Note 2 - All the above NAVs have been calculated using the fair value (bid) prices for the underlying investments. Note: 1. For these Companies the fair value of debt is not materially different from the carrying value. 2. No cum income NAV is published for these Companies. 3. The NAVs above include a provision for performance fee where applicable. 03 April 2006
UK 100

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