Net Asset Value(s)
31 May 2008 - 2:02AM
UK Regulatory
THE LAXEY INVESTMENT TRUST PLC
The Net Asset Value (NAV) per Ordinary Share of 25p (including current period
revenue to 30th April 2008 due to permanent deficit) at close of business on
29th May 2008 was 103.61p.
30th May 2008
END
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