Interim Management Statement

THE BIOTECH GROWTH TRUST PLC Interim Management Statement - 3 months to 31 December 2012 (unaudited) The Biotech Growth Trust PLC seeks capital appreciation through investment in the worldwide biotechnology industry principally by investing in emerging biotechnology companies. During the 3 month period ended 31 December 2012 the Company's net asset value per share (NAV) fell by 2.2%, compared to a fall of 4.3% in the Company's benchmark, the NASDAQ Biotechnology Index measured in sterling terms. The Company's share price fell by 1.3% and ended the period on a 0.6% premium to the Company's NAV. From the period-end to 4 February 2013, the Company's NAV rose by 10.2% and the share price rose by 9.5%; this compares to a rise of 9.7% in the Company's benchmark. During the three-month period ended 31 December 2012 no shares were issued nor repurchased for cancellation. As at 4 February 2013 the Company had 63,056,347 shares in issue. Trust Characteristics 31 December 2012 30 September 2012 Number of Holdings 37 39 Net Assets (£m) 183.2 187.3 Gearing (AIC basis) 104 100 Share Price (p) 292.3 296.0 NAV (p) 290.5 297.0 Premium/(Discount) 0.6% (0.3%) Source: Frostrow Capital LLP Geographical Analysis % of portfolio % of portfolio at 30 December 2012 at 30 September 2012 North America 92.5 89.9 Far East 3.5 4.0 Continental Europe 3.0 5.0 Unquoted 1.0 1.1 Total 100 100 Source: Frostrow Capital LLP 10 Largest Investments Name % of portfolio % of portfolio at 31 December 2012 at 30 September 2012 Infinity Pharmaceuticals 7.9 4.1 Amgen 7.9 7.4 Gilead Sciences 7.3 9.8 Alexion Pharmaceuticals 5.1 4.7 Celgene 5.1 4.3 Onyx Pharmaceuticals 5.0 5.5 Medivation 4.8 - Regeneron Pharmaceuticals 4.6 - Perrigo 3.9 4.7 Mylan 3.9 - Incyte Genomics - 4.2 Biogen Idec - 4.1 Illumina - 3.6 Total 55.5 52.4 Source: Frostrow Capital LLP Performance to 31 December 2012 3 Months 1 Year 3 Years 5 Years Share Price -1.3 50.6 99.5 169.4 NAV per share -2.2 38.9 91.5 155.1 Benchmark* -4.3 26.0 68.6 109.2 Source: Bloomberg & Morningstar * Benchmark - NASDAQ Biotechnology Index measured in sterling terms. Past performance is not a guide to future performance. This Interim Management Statement has been prepared solely to provide information to meet the requirements of the UK Listing Authority's Disclosure and Transparency Rules. This Interim Management Statement is available on the Company's website www.biotechgt.com. The Company's net asset value per share is announced daily and is available, together with the share price, on the TrustNet website at www.trustnet.com SEDOL Code: - Ordinary shares - 0038551 ISIN: - Ordinary Shares GB0000385517 Bloomberg: - BIOG LN EPIC: - BIOG For further information contact: Mark Pope on 0203 008 4913 Frostrow Capital LLP Company Secretary 5 February 2013
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