Net Asset Value(s)

Shires Income PLC 28 February 2007 Shires Income plc The Net Asset Value of Shires Income plc as at close of business on 27 February 2007 was 320.5p. This NAV has been prepared on the basis of guidance issued by the Association of Investment Companies (AIC). It includes the net income after expenses and a pro-rata accrual for dividends payable in respect of the ten months to 31 January 2007. The AIC recommends Investments be valued at bid price. Shires Income plc, an investment trust, is managed by Glasgow Investment Managers Limited. This information is provided by RNS The company news service from the London Stock Exchange
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