Net Asset Value(s)-Amendment

Midas Income & Growth Trust PLC 03 November 2005 AMENDMENT NAV The 'diluted with debt at Fair Value' figure announced on 2nd November at 12.04pm (RNS No 5222T) was incorrect. The 'diluted with debt at Fair Value' figure announced was 111.64p. This should have read 141.86p. Please see below the correct nav announcement. MIDAS INCOME AND GROWTH TRUST PLC Aberdeen Asset Management plc, Secretaries, announce the following unaudited daily net asset values of Midas Income and Growth Trust PLC as at close of business on 1 November 2005 Midas Income and Growth Trust - undiluted 150.29p Ordinary Midas Income and Growth Trust - undiluted with debt at Fair Value 149.95p Ordinary Midas Income and Growth Trust - diluted 142.14p Ordinary Midas Income and Growth Trust - diluted with debt at Fair Value 141.86p Ordinary END This information is provided by RNS The company news service from the London Stock Exchange
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