Correction : Miscellaneous - Monthly Performance

Please be advised that the previous announcement made today at 16.39 had an incorrect date shown as 30 April 2004 when it should have read 31 May 2004. Below is the full and correct version of the announcement. Keystone Investment Trust plc Headline: Monthly Performance Fact Sheet 31 May 2004 Sector Breakdown Resources 0.0% Basic Industries 3.1% General Industrials 2.0% Cyclical Consumer Goods 0.0% Non-cyclical Consumer Goods 28.3% Cyclical Services 17.2% Non-Cyclical Services 11.5% Utilities 14.9% Financials 6.4% Information Technology 0.4% Fixed Interest 0.9% Net current assets 15.3% 100.0% Statistics Total Gross Assets £148.0m Net Asset Value Per Ordinary Share 809.1p Mid-Market Price - Ordinary Shares 31 May 2004 722.50p Estimated Yield (net) on Ordinary Shares 3.5% Premium/(discount) (10.7)% Dividends (Estimated based on last year) 25.00p Asset Gearing* 116.0 Asset Gearing* excluding fixed interest securities 115.0 * reflects the amount of loans actively invested in assets and not held in cash. It is calculated by dividing fixed assets investments by Shareholders' funds Value of debt £39.6m Ordinary shares in issue 13,368,799 (Figures as at 31 May 2004) Top 10 Equity Holdings incl convertibles * % of Portfolio 1 BT Group 4.61% 2 RJ Reynolds 4.12% 3 Tesco 4.10% 4 Brit American Tobacco 3.65% 5 GlaxoSmithkline 3.57% 5 National Grid Transco 3.52% 6 Altria 3.20% 8 Unilever 3.20% 9 Celltech 2.93% 10 Lloyds TSB 2.59% Figures as at 31 May 2004 * Ordinary Shares unless stated otherwise Ordinary Share Performance Since 01/01/03 1 Year 3 Years 5 Years * Share Price +50.2% +31.3% -18.9% -28.8% NAV +38.0% +25.5% -17.3% -23.2% Benchmark +22.5% +15.6% -13.9% -12.2% * With effect from 1 January 2003 INVESCO Asset Management Limited was appointed Investment Manager of the Company Figures supplied by INVESCO Marketing / Datastream 31 May 2004
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