Net Asset Value(s)

MONTANARO UK SMALLER COMPANIES INVESTMENT TRUST PLC ("the Company") The fair value net asset value per Ordinary 10p Share of the Company as at 5 June 2008, was 316.98 pence including current period revenue. The fair value net asset value per Ordinary 10p Share of the Company as at 5 June 2008, was 315.65 pence excluding current period revenue. The above net asset values are calculated after deduction of the 3.65p dividend per Ordinary share announced by the Company on 31 May 2008. 6 June 2008
UK 100

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