Net Asset Value(s)

Martin Currie Investment Management Limited, as company secretary, announces the unaudited net asset values (on the AIC basis) of the company as at the close of business on 06 June 2008 The Martin Currie Portfolio Investment Trust Net Asset Value calculation now includes a accrual for the Performance Fee. This accrual will be updated each month With debt valued at par : 141.49p per ordinary share With debt valued at market : 141.49p per ordinary share These NAVs have been prepared ex-income
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