Net Asset Value(s)

SMALL COMPANIES DIVIDEND TRUST PLC The Company announces that as at 30 November 2006: Total Assets * (including audited revenue reserves at 30 April 2006) of £58.87m Net Assets * (including audited revenue reserves at 30 April 2006) of £49.32m The Net Asset Values (NAV) as at 30 November 2006 were: Excluding current period revenue Issued share capital Per Ordinary share 234.39p 16,250,000 Ordinary share price 228.00p Discount to NAV (2.73%) Including current period revenue Per Ordinary share 237.19p Ordinary shares have an undated life Per Zero Dividend Preference share 178.85p 6,250,000 (ZDP's) ZDP's which are held in a subsidiary have a redemption date of 30 April 2007 Per Preference share 178.85p 31,260 Bank loan £5.00m Overdraft £4.55m This NAV has been calculated with debt at par value. * Figures based on bid prices. Top 20 Holdings Company % 1 Hitachi Capital UK 3.38 2 Abacus Group 3.15 3 Hill & Smith Holdings 2.95 4 TT Electronics 2.59 5 United Utilities 2.54 6 Alumasc Group 2.37 7 Dee Valley Group 2.36 8 Arbuthnot Banking Group 2.34 9 Acertec 2.32 10 Chesnara 2.26 11 Davenham Group 2.23 12 THB Group 1.98 13 Highway Insurance Holdings 1.93 14 Salvesen (Christian) 1.92 15 Flying Brands 1.89 16 Fenner 1.86 17 Nichols 1.80 18 City Lofts Group 1.80 19 Pendragon 1.79 20 Brit Insurance Holdings 1.70 Balance held in 57 holdings 54.84 100.00
UK 100

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