RNS Number:6900N
Henderson Technology Trust PLC
11 July 2000


The issuer has made the following amendment to the 'Net Asset Value'
announcement released today at 14:39 under RNS No 6750N.

The date in the first line of the announcement should read 7 July 2000 and not
30 June 2000 as previously shown.

All other details remain unchanged.

The full corrected version is shown below.
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HENDERSON TECHNOLOGY TRUST PLC

As  at  close  of business on 7 July 2000, the  unaudited
fully  diluted  net asset value per share, calculated  in
accordance  with  the AITC formula  was  427.7p  and  the
unaudited undiluted net asset value per share, calculated
on the same basis, was 490.8p.


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