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 07 July 2008 The Martin Currie Portfolio Investment Trust Net Asset Value calculation now includes an accrual for the Performance Fee. This accrual will be updated each month With debt valued at par excluding income : 131.58p per ordinary share With debt valued at market excluding income : 131.58p per ordinary share With debt valued at par including income : 133.74p per ordinary share With debt valued at market including income : 133.74p per ordinary share From the 04 June 2008 to 03 July 2008 the Martin Currie Portfolio Trust NAV excluding income was understated by an average of 0.17%. These NAV's are available on request from Martin Currie.
Investor Meets Company
UK 100

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