Net Asset Value(s)

NET ASSET VALUE AND RULE 21.20 (L) DISCLOSURES 1. NET ASSET VALUE British & American Investment Trust PLC announces that, as at 31st October 2007, the value of the group's investments and cash at banks was £44.6 million (net of the interim and preference dividends payable on 15th November totaling £850,000 and representing 2.4 pence per share, fully diluted) and the unaudited consolidated net asset value of the company was not less than 127.5 pence per £ 1 ordinary share (prior charges deducted at par) and 138.6 pence per ordinary share on a fully diluted basis, ex dividend 2. RULE 21.20 (L) (i) DISCLOSURE British & American Investment Trust PLC announces that, as at 31st October 2007, it held the following investments in UK listed investment companies, including investment trusts, which have not declared an investment policy to invest less than 15% of their gross assets in other UK listed investment companies, including investment trusts. INVESTMENT % GROSS POLICY ASSETS The Alliance Trust 5.8 Undeclared RIT Capital Partners Plc 7.1 Undeclared Shires Income Plc 1.3 TOTAL 14.2% In accordance with Listing Rule 21.20 (L) (i), as the total investment of British & American Investment Trust PLC in UK listed investment companies, including investment trusts, which have not declared an investment policy to invest less than 15% of their gross assets in other UK listed investment companies, including investment trusts, was greater than 10% of Gross Assets, no further investments in such companies will be made until such time as the total investments in such companies is below 10% of gross assets.
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