Net Asset Value(s) - Amended
02 Maio 2008 - 1:47PM
UK Regulatory
The NAV announced under Release reference PRNUK-0205081510-3765 was incorrect.
The correct announcement is given below.
SR EUROPE INVESTMENT TRUST PLC
The Company announces that the unaudited Net Asset Values at 30 April 2008
were:
Per Ordinary share - basic: 233.84 pence
END
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