INVESCO Tokyo Trust - Net Asset Value
29 Junio 2000 - 11:09AM
UK Regulatory
RNS Number:0722N
INVESCO Tokyo Trust PLC
29 June 2000
Net Asset Value per share (AITC Ex Income basis) as at 28 June 2000 for
Investment Trust managed by INVESCO Asset Management Limited.
NAV per share
as at 28.06.00
undiluted diluted
INVESCO Tokyo Trust plc 65.38p 63.65p
The above figures are unaudited.
END
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