REG-Invesco Perp Sel Tst: Net Asset Value(s)

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Wed May 27, 2009 11:39am EDT

Invesco Asset Management Limited                        

HEADLINE: Net Asset Values

It is announced that at the close of business on 26 May 2009 the unaudited net
asset values per share (AIC basis) of the following investment trust companies
managed by Invesco Asset Management Limited are:-

                                            NAVs with Debt at Par & Fair Value 
                                                                               
Company                                     Undiluted Diluted Undiluted Diluted
                                                                               
                                              Capital Capital       Cum     Cum
                                                                               
                                                                 Income  Income
                                                                               
                                              (pence) (pence)   (pence) (pence)
                                                                               
Invesco Perpetual Select Trust plc   Note 1     75.00       -     74.86       -
                                                                               
- UK Equity Share Portfolio                                                    
                                                                               
Invesco Perpetual Select Trust plc   Note 1     89.08       -     88.84       -
                                                                               
- Global Equity Share Portfolio                                                
                                                                               
Invesco Perpetual Select Trust plc             100.11       -     99.39       -
                                                                               
- Managed Liquidity Share Portfolio                                            

All the above NAVs have been calculated using the fair value prices for the
underlying investments.

Note:

1. Includes a provision for performance fee, where applicable.

27 May 2009



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