Net Asset Value(s)
20 January 2009 - 11:04PM
UK Regulatory
TIDMAMN
RNS Number : 9338L
Asset Management Investment Co.PLC
20 January 2009
ASSET MANAGEMENT INVESTMENT COMPANY PLC
("The Company")
As at close of business on 19 January 2009, the unaudited net asset value
("NAV") per ordinary share of the Company calculated in accordance with AIC
recommended practice was:
Net asset value (excluding current year income) per ordinary share
is 80.99 pence.
Net asset value (cum current year income) per ordinary share is 86.25 pence.
Notes:
1. Unlisted securities are normally revalued on a monthly basis.
2. Debt is included at fair value.
Enquiries:
020 7618 9040
This information is provided by RNS
The company news service from the London Stock Exchange
END
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