Net Asset Value(s)

NET ASSET VALUE BLACKROCK NEW ENERGY INVESTMENT TRUST PLC The unaudited net asset values for BlackRock New Energy Investment Trust plc at close of business on 20 December 2013 were: 45.46p Capital (Pre Performance Fee) 45.46p Capital (Post Performance Fee) 45.66p Including income (Pre Performance Fee) - diluted for subscription shares 45.66p Including income (Post Performance Fee) - diluted for subscription shares Notes: 1. The NAV excludes any provision for the following amounts: £418,000 in respect of estimated liquidation costs; £231,000 in respect of the write off of unquoted investments; and £828,000 in respect of portfolio realisation costs. 2. Under the investment management agreement dated 14 December 2006, a performance fee is payable based on outperformance of the Company's benchmark index if the Company's NAV reaches a high watermark of 55.58p. In accordance with the AIC statement of Recommended Practice, the above NAV includes any relevant performance fee provisions to the extent that the high watermark has been attained. The NAV prior to the calculation of any performance fee accruals, for the purposes of calculating the high watermark, amounted to: 45.66p (including income). 3. Revenue items included in net asset value, with dividends payable deducted on the ex-dividend date. 4. Following the conversion of 2,949 Subscription Shares into Ordinary Shares on 31 October 2013, the Company's issued share capital comprises 234,988,568 Ordinary Shares and 45,611,243 Subscription Shares. 5. For the latest daily net asset value, previous month end performance statistics, asset allocation and ten largest holdings of the BlackRock managed Investment Trusts; see BLRKINDEX on Reuters or page 8800 on ICB (Topic 3).
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