Net Asset Value(s)

British Portfolio Trust PLC 21 November 2007 British Portfolio Trust PLC As recommended by the AIC, financial assets are now valued on a bid price basis in accordance with revised UK accounting standards. British Portfolio Trust PLC announces that at close of business on 20 November 2007: 1) Excluding any profit or loss on the mark to market value of the company's fixed interest swap contract, the capital net asset value per ordinary share was 179.56p. 2) based on the number of shares held in treasury, the net asset value per ordinary share was 179.41p. The NAV at market value will no longer be announced as the fair value of the interest rate swap contracts is now recognised in the financial statements in accordance with the adoption of FRS26 'Financial Investments: Measurement'. Enquiries: Peter Ingram Tel: 020 7065 1467 21 November 2007 This information is provided by RNS The company news service from the London Stock Exchange D NAVPUGGPGUPMGAG
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