Interim Management Statement

Pacific Horizon Investment Tst PLC 05 November 2007 The issuer advises that the following replaces the Interim Management Statement released 5 November 2007 at 11.40am under RNS number 0194H The full corrected version is shown below: PACIFIC HORIZON INVESTMENT TRUST PLC Interim Management Statement - 3 months to 31 October 2007 Pacific Horizon's objective is to invest in the stockmarkets of the Asia-Pacific region (excluding Japan) and in the stockmarkets of the Indian Sub-continent in order to achieve capital growth. The Company is prepared to move freely between the markets of the region as opportunities for growth vary. The portfolio will normally consist entirely of quoted securities. Review of the Period • Over the period, the Company's net asset value rose by 16.6% compared to a rise in the comparative index of 18.2% while the share price rose by 17.0%. • The final dividend of 1.10p per share was paid on 29 October 2007. • Changes in the Top 10 Equity Holdings were due to market movements. • The Company has bought 30% out of the money Hang Seng China Enterprises Index Put Options, for a total consideration of £1.2m. Expiring March 2008. Geographical Analysis of Total Assets Top Ten Equity Holdings Region % of % of total Name % of % of total total assets at total assets at assets at 31/07/07 assets at 31/07/07 31/10/07 31/10/07 Hong Kong and China 38.4 34.8 Samsung Corporation 4.4 5.4 Korea 16.4 19.1 Singapore Exchange 3.8 2.8 Singapore 11.7 12.2 CNPC Hong Kong 3.6 3.3 Taiwan 10.8 11.6 Pacific Basin Shipping 3.6 2.9 Malaysia 6.0 5.4 China Infrastructure 3.4 4.1 Indonesia 4.3 4.6 Machinery Holdings Thailand 3.8 4.2 Samsung Heavy Industries 3.1 3.4 India 2.8 2.9 Bakrie and Brothers 2.7 3.1 Philippines 1.9 2.4 Petrochina 2.4 1.7 Vietnam 1.9 1.9 Li & Fung 2.3 2.1 Net Liquid assets 2.0 0.9 Hong Kong Exchanges and Clearing 2.3 2.7 Total 100.0 100.0 Total 31.6 31.5 Capital Growth Performance % 3 Months 1 Year 3 Years 5 Years Share Price 17.0 67.8 204.5 399.4 NAV (Par) 16.6 69.4 184.5 326.3 Comparative Index 18.2 54.4 122.0 167.6 Source: Fundamental Data Ltd.; Comparative Index is MSCI All Country Far East ex Japan Index (in sterling terms). Past performance is not a guide to future performance General Information 31/10/07 31/07/07 Equity shareholders' funds £150.7m £130.1m Net asset value per share 193.37p 166.90p Share Price 201.00p 171.75p Premium 3.9% 2.9% This interim management statement and up to date NAV and share price information is available on the Managers' website www.bailliegifford.com. For further information contact:- Anzelm Cydzik on 0131 275 3276 This information is provided by RNS The company news service from the London Stock Exchange
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