Net Asset Value(s)

Alliance Trust plc At the close of business on Wednesday 1 February 2006 the unaudited net asset value per ordinary share of 25p, valued under UK GAAP and on bid price basis, was 4001p. Income after tax, interest and management expenses arising, but which is not included in the net asset value per ordinary share above, was 50p per ordinary share. Until and including 1 February 2006, net asset values were announced on the basis of UK GAAP on a mid price basis, excluding income. On the mid price basis the net asset value at close of business on Wednesday 1 February 2006 was 4008p per ordinary share excluding income.
Investor Meets Company
UK 100