Month End Performance

Mercury Grosvenor Trust PLC 8 March 2000 MERCURY GROSVENOR TRUST plc All information is at 29th February 2000 and unaudited Performance at month end with net income reinvested Three One Three Five months year years years Net asset value 12.5% 36.1% 61.6% 168.0% Share price 7.7% 28.2% 57.8% 146.3% FTSE All-Share Index -2.8% 8.6% 54.0% 133.9% At month end Net asset value: 369.26p (Jan 357.22p) includes current year net income of 8.01p. Figures quoted are before the deduction of the final dividend for 1999 of 8.0p per share. Share price: 286.5p Discount: 22.4% Total assets: £95.76m Net yield: 2.8% Gearing: 0.0% Value of debt: Nil Number of shares in issue: 25,933,170 The NAV is recalculated monthly with respect to cash, cash equivalents and quoted investments in the portfolio. Unquoted investments were last revalued at 31st December 1999. UK Sector % Portfolio Support Services 26.7 Health 12.7 Overseas Venture Funds 8.1 Property 7.9 Pharmaceuticals 6.7 Distribution 3.7 Media 3.1 Paper, Packaging & Printing 2.9 Engineering 1.4 Electronics 1.3 Hotels & Leisure 0.9 Telecoms 0.5 Cash/Fixed Interest 24.1 ----- 100.0 ----- Ten Largest Investments Company % Portfolio Sector PII 11.0 Support Services Greycoat Estates 7.9 Property Tunstall 7.2 Health Braitrim 6.6 Support Services Alizyme * 5.6 Pharmaceuticals Dechra Holdings 3.6 Support Services Weston Presidio II 3.1 Overseas Funds Match 2.7 Support Services Unicorn 2.7 Support Services Bertram Group Holdings 2.6 Media ---- 53.0 ==== * Traded on the Alternative Investment Market Sources: Standard & Poor's Micropal Latest information is available by typing 'MAMINDEX' on Reuters, 'MAMI' on Bloomberg, or '8800' on Topic3 (ICV terminal). 8th March, 2000
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