Net Asset Value(s)-Amendment

European Assets Trust NV 13 April 2006 The following replaces the Net Asset Values announcement released today at 14.52 under RNS No. 5298B. The NAV as at close of business should read '12/04/06' and not '11/04/06'. All other details remain unchanged. NAV as at close of business on 12/04/06 F & C Asset Management plc Investment Trusts announces the unaudited Net Asset Value for the following Investment Trust. (Pence per share). Investments valued on a bid price basis. European Assets Trust 900.89 Note: NAV is diluted, where appropriate. This information is provided by RNS The company news service from the London Stock Exchange
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