REG-INVESCO INVESTMENT: Net Asset Value(s)

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Thu Jun 19, 2008 9:43am EDT

                                                                                                                       . 
Invesco Asset Management Limited                        

HEADLINE: Net Asset Values

It is announced that at the close of business on 18 June 2008 the unaudited net
asset value per share (AIC basis) of the following Investment Trusts managed by
Invesco Asset Management Limited are:-

                                               Note    NAV with debt at    
                                                                           
                                                           par value       
                                                                           
                                                       Undiluted  Undiluted
                                                                           
                                                         Capital        Cum
                                                                           
                                                         (pence)     Income
                                                                           
                                                                    (pence)
                                                                           
City Merchants High Yield Trust plc               1       152.05     155.33
                                                                           
Invesco Perpetual Recovery Trust 2011 plc         2                        
                                                                           
- Ordinary                                                 60.82      68.11
                                                                           
- Zero Dividend Preference                                116.28           
                                                                           
Invesco Perpetual AiM VCT Plc                              67.88      67.71

All the NAVs above are based on underlying investments valued on a fair value
(bid) basis.

Notes

1. Gearing comprises short-term bank loans; hence NAV at fair value equates to

NAV at par value.

2. Includes the provision for performance fee, if applicable.

19 June 2008



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