Net Asset Value(s) - amendment

The Net Asset Value date on the Net Asset Value announcement released earlier today should have read 4 January 2008 not 04 January 2007 as stated. All other information remains unchanged. Advance Focus Fund Limited announces that its unaudited Net Asset Value (NAV) including income accrued as at the close of business on 04 January 2008 was £31.170 million, representing a NAV of 124.00 pence per share. Investments in the Company's portfolio have been valued on a bid price basis in the above calculations. Visit our website at http://www.pro-asset.com/ ---END OF MESSAGE---
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