REG-BlackRock Investment Trusts: Net Asset Value(s)
BLACKROCK INVESTMENT TRUSTS NET ASSET VALUE BLACKROCK GREATER EUROPE INVESTMENT TRUST PLC The unaudited net asset value for BlackRock Greater Europe Investment Trust plc at close of business on 10 July 2009 was: 121.11p Capital only (undiluted) 124.48p Including current year income (undiluted) 121.11p Capital only (treasury shares) 124.48p Including current year income (diluted for treasury shares) Notes: 1. Investments have been valued on a bid price basis. 2. Revenue items included in net asset value, with dividends payable deducted on the ex-dividend date. 3. The undiluted net asset value above has been calculated based on 105,124,598 ordinary shares, excluding 1,696,092 shares currently held in Treasury. 4. For the latest daily net asset value, previous month end performance statistics, asset allocation and ten largest holdings of the BlackRock managed Investment Trusts; see BLRKINDEX on Reuters or page 8800 on ICB (Topic 3). NET ASSET VALUE BLACKROCK WORLD MINING TRUST PLC The unaudited net asset value for BlackRock World Mining Trust plc at close of business on 10 July 2009 was: 406.09p Capital only (undiluted) 409.34p Including current year income (undiluted) Notes: 1. Investments have been valued on a bid price basis. 2. Revenue items included in net asset value, with dividends payable deducted on the ex-dividend date. 3. The undiluted net asset value per share has been calculated on 177,762,242 ordinary shares excluding 15,249,600 held in treasury. 4. For the latest daily net asset value, previous month end performance statistics, asset allocation and ten largest holdings of the BlackRock managed Investment Trusts; see BLRKINDEX on Reuters or page 8800 on ICB (Topic 3). NET ASSET VALUE BLACKROCK NEW ENERGY INVESTMENT TRUST PLC The unaudited net asset value for BlackRock New Energy Investment Trust plc at close of business on 10 July 2009 was: 43.98p Capital (Pre Performance Fee) 43.98p Capital (Post Performance Fee) 44.32p Including income (Pre Performance Fee) 44.32p Including income (Post Performance Fee) Notes: 1. Under the investment management agreement dated 14 December 2006, a performance fee is payable based on outperformance of the Company's benchmark index if the Company's NAV reaches a high watermark of 55.58p. In accordance with the AIC statement of Recommended Practice, the above NAV includes any relevant performance fee provisions to the extent that the high watermark has been attained. The NAV prior to the calculation of any performance fee accruals, for the purpose of assessing the high watermark, amounted to 43.98p. 2. Investments have been valued on a bid price basis. 3. Revenue items included in net asset value, with dividends payable deducted on the ex-dividend date. 4. The number of shares in issue totals 243,750,000. 5. For the latest daily net asset value, previous month end performance statistics, asset allocation and ten largest holdings of the BlackRock managed Investment Trusts; see BLRKINDEX on Reuters or page 8800 on ICB (Topic 3). NET ASSET VALUE BLACKROCK SMALLER COMPANIES TRUST PLC The unaudited net asset value for BlackRock Smaller Companies Trust plc at close of business on 10 July 2009 was: 269.81p Capital only and including debt at par value 264.32p Capital only and including debt at fair value 273.40p Including current year income and debt at par value 267.91p Including current year income and debt at fair value Notes: 1. Investments have been valued on a bid price basis. 2. 300,000 ordinary shares purchased on 9 April 2009, bringing the total amount of ordinary shares held in treasury to 1,798,731. The total number of ordinary shares in issue excluding treasury shares is 48,194,792. 3. For the latest daily net asset value, previous month end performance statistics, asset allocation and ten largest holdings of the BlackRock managed Investment Trusts; see BLRKINDEX on Reuters or page 8800 on ICB (Topic 3). NET ASSET VALUE BLACKROCK COMMODITIES INCOME INVESTMENT TRUST PLC The unaudited net asset value for BlackRock Commodities Income Investment Trust plc at close of business on 10 July 2009 was: 91.39p Capital only (undiluted) 91.95p Including current year income (undiluted) XD 91.45p Capital only (diluted NAV incorporating treasury shares) 92.01p Including current year income (diluted NAV incorporating treasury shares) XD Notes: 1. Investments have been valued on a bid price basis. 2. Revenue items included in net asset value, with dividends payable deducted on the ex-dividend date. 3. The unaudited NAV above has been calculated based on 74,575,662 shares. 4. Following the resale of 250,000 shares out of treasury on 25 June 2009, there are 1,024,338 shares held in treasury. 5. For the latest daily net asset value, previous month end performance statistics, asset allocation and ten largest holdings of the BlackRock managed Investment Trusts; see BLRKINDEX on Reuters or page 8800 on ICB (Topic 3). NET ASSET VALUE BLACKROCK LATIN AMERICAN INVESTMENT TRUST PLC The unaudited net asset value for BlackRock Latin American Investment Trust plc at close of business on 10 July 2009 was: 662.38c per share (US cents) - Capital only 408.82p per share (pence sterling) - Capital only 669.89c per share (US cents) - Including current year income 413.46p per share (pence sterling) - Including current year income Notes: 1. Investments have been valued on a bid price basis. 2. Revenue items included in net asset value, with dividends payable deducted on the ex-dividend date. 3. Following the tender offer on 6 April 2009, 3,554,231 shares were tendered and held in treasury making the total number of shares now held in treasury 3,954,231. The number of shares in issue (excluding treasury shares) is 43,835,522. 4. For the latest daily net asset value, previous month end performance statistics, asset allocation and ten largest holdings of the BlackRock managed Investment Trusts; see BLRKINDEX on Reuters or page 8800 on ICB (Topic 3). NET ASSET VALUE THE THROGMORTON TRUST PLC The unaudited net asset value for The Throgmorton Trust PLC at close of business on 10 July 2009 was: 107.14p Capital only 110.32p Including current Year Revenue Notes: 1. Investments have been valued on a bid price basis. 2. Following the recent tender offer, the Company now holds 8,200,000 shares in treasury. The number of shares in issue (excluding treasury shares) is 82,351,197. 3. Revenue items included in net asset value, with dividends payable deducted on the ex-dividend date. NET ASSET VALUE THE EASTERN EUROPEAN TRUST PLC The unaudited net asset value for The Eastern European Trust PLC at close of business on 10 July 2009 was: 257.11c per share (US cents) - Including current year income 158.69p per share (pence sterling) - Including current year income Notes: 1. Investments have been valued on a bid price basis. 2. Revenue items included in net asset value. END
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