Portfolio Update

Keystone Investment Trust plc Headline: Monthly Statistics Fact Sheet 30 April 2007 Sector Breakdown Oil & Gas 9.2% Basic Materials 3.1% Industrials 14.1% Consumer Goods 18.4% Health Care 10.6% Consumer Services 9.4% Telecommunications 9.8% Utilities 12.0% Financials 9.7% Technology 3.7% 100.0% Statistics Total Gross Assets (£m) 220.2 Dividend (p) 35.00 Ordinary Shares: Dividend Yield 2.9% - Mid Market Price (p) 1,216.00 Asset Gearing* 119 - Net Asset Value with debt at 1,349.20 Asset Gearing* 119 par (p) - Net Asset Value with debt at 1,306.90 (excluding fixed interest fair value (p) securities) Discount (debt at par) 9.9% Discount (debt at fair value) 7.0% * Asset Gearing reflects the amount of loans invested in the portfolio. A figure of 100 means that the Company has no gearing. Top 10 Equity Holdings incl convertibles * % of Portfolio 1. BT Group 5.7% 2. Royal Dutch Shell 4.9% 3. GlaxoSmithKline 4.7% 4. Brit American Tobacco 4.6% 5. Imperial Tobacco 4.4% 6. BP PLC 4.3% 7. Reynolds American Inc 4.1% 8. Vodafone 4.0% 9. Tesco 3.8% 10. National Grid 3.4% Figures as at 30 April 2007 * Ordinary Shares unless stated otherwise Ordinary Share Performance Since 01/01/03 1 Year 3 Years 5 Years * Share Price +177.2% +19.8% +84.0% +99.2% NAV +148.9% +16.0% +76.9% +84.9% Benchmark (FTSE All Share) +104.9% +12.7% +65.1% +57.3% * With effect from 1 January 2003 INVESCO Asset Management Limited was appointed Investment Manager of the Company Figures supplied by Invesco Perpetual Marketing / Datastream = Total Return 8 May 2007
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