Month End NAV Movements

New India Investment Trust PLC 09 December 2005 New India Investment Trust PLC Month End NAV Movements The unaudited Net Asset Value of the Company at 30 November 2005 was 122.89p (diluted) and 129.02p (undiluted). Net Asset Value Movements since 9 December 2004* have been as follows: 1 month 3 months 6 months 31/12/04 9/12/04* Ordinary (diluted where +10.79% +11.35% +25.32% +36.80% +35.13% appropriate) MSCI India Capital Return +12.39% +12.30% +29.84% +37.19% +44.86% *On 9 December 2004 the investment management contract was transferred to Aberdeen Asset Management Asia Limited This information is provided by RNS The company news service from the London Stock Exchange
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