Net Asset Value(s)-Replace

New City High Yield Fund Limited 15 March 2007 The 'Net Asset Value' announcement released on 14th March 2007 at 15:23 under RNS No 9630S, should have been issued under the Company name of New City High Yield Fund Limited and not under the Company name of New City High Yield Trust PLC. The announcement text is unchanged and is reproduced in full below. NAV's as at close of business on 13/03/07 F & C Asset Management plc Investment Trusts announces the unaudited Net Asset Values for the following Investment Trusts. (Pence per share). Investments valued on a bid price basis. New City High Yield Fund 53.58 Note: NAVs are diluted, where appropriate. This information is provided by RNS The company news service from the London Stock Exchange
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