- Amendment to NAVS released with incorrect date

Martin Currie Portfolio Investment Trust plc The NAVS, released at 11:20 today, were actually as at Monday 13th October 2008 and not as at 11th October as incorrectly stated. All NAVS will now be re-released with the correct date of 13th October. Apologies for any inconvenience or confusion this has caused.
Investor Meets Company
UK 100

Latest directors dealings