Interim Management Statement

RIT Capital Partners PLC 07 January 2008 RIT CAPITAL PARTNERS PLC Interim Management Statement - 3 months ended 31 December 2007 RIT Capital Partners is a self-managed investment trust whose corporate objective is 'to deliver long-term capital growth, while preserving shareholders' capital; to invest without the constraints of a formal benchmark, but to deliver for shareholders increases in capital value in excess of the relevant indices over time.' Its policy is 'to invest in a widely diversified, international portfolio across a range of asset classes, both quoted and unquoted; to allocate part of the portfolio to exceptional managers in order to ensure access to the best external talent available.' This statement is released to comply with Disclosure and Transparency Rule 4.3 of the Financial Services Authority, and covers the period from the beginning of the Company's current six month financial year on 1 October 2007 to 31 December 2007. It is divided into two sections, the first being a summary of the material events and transactions during the period and subsequently to the date of publication of this statement. The second section is a general description of the financial performance of the Company in the quarter to 31 December 2007. 1. Material events and transactions during the period and subsequently •Acquisition of 4.74% interest in Edinburgh based fund management company, Martin Currie. •Announcement of the Company's results for the financial half year ended 30 September 2007. •Appointment of Mr John Cornish as an additional independent non-executive director. 2. Financial performance during the period The financial performance of the Company may be assessed by reference to some or all of the following comparatives: 30 September 2007 31 December 2007 Change Net Asset Value (NAV) per share 1,127.7p 1,137.1p +9.4p Share price 1,095.0p 1,034.0p (5.6)% Share price premium / (discount) to NAV 2.9% (9.1%) n/a Morgan Stanley Capital International Index (in £) (0.46)% FTSE All-Share Index (0.91)% Investment Trust Net Assets Index +0.24% This information is provided by RNS The company news service from the London Stock Exchange
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