French Property Tst. - Net Asset Value
14 January 1999 - 3:14AM
UK Regulatory
RNS No 0990r
FRENCH PROPERTY TRUST PLC
13th January 1999
Date: NAV's as at close of business on 12/01/99
Ivory + Sime Investment Trusts announces the Net Asset Value for the
following Investment Trust.
(Pence per share)
French Property Trust 128.31
Note: NAVs are diluted, where appropriate.
Please ensure that announcement includes date of valuation.
END
NAVEXFFFKFKZBKB
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