REG-New Star IT PLC: Net Asset Value(s)

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Thu Oct 8, 2009 11:57am EDT

NEW STAR INVESTMENT TRUST PLC

Net Asset Value

The Net Asset Value ("NAV") per share of New Star Investment Trust PLC at
30 September 2009 was as follows:

NAV per share, ex income (based on mid-market valuations)              91.68p
                                                                             
NAV per share, ex income (based on bid valuations)                     90.95p
                                                                             
NAV per share, cum income (based on mid-market valuations)             92.43p
                                                                             
NAV per share, cum income (based on bid valuations)                    91.70p



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