Net Asset Value(s)

Blue Planet Financials Growth & Income Investment Trusts Nos 1-10 plc UNDILUTED NAV at 30th November 2005 Blue Planet Investment Management Ltd announces that at close of business on the 30th November 2005 the unaudited undiluted Net Asset Value, calculated in accordance with the AITC formula, was GBP 22.739 per unit. This is equivalent to GBP 2.2739 per share for each of the ten identical trusts. DILUTED NAV at 30th November 2005 Blue Planet Investment Management Ltd announces that at close of business on the 30th November 2005 the unaudited diluted Net Asset Value, calculated in accordance with the AITC formula, was GBP 20.690 per unit. This is equivalent to GBP 2.0690 per share for each of the ten identical trusts. The closing share price on the London Stock Exchange on that date was GBP 15.125 per unit. A unit comprises ten shares, one share in each of the Blue Planet Financials Growth & Income Investment Trusts Nos 1-10. For more information, please visit www.blueplanet.eu.com. You can also contact the Company on 0131 466 6666 or by emailing info@blueplanet.eu.com.
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