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Prices & performance

Change in NAV calculation
From 30 June 2004, following the lead of the Association of Investment Companies (AIC), we have changed the way we calculate Net Asset Values to take into account the "fair value" of debt. To find out more about the change follow this link to the AIC website.
Closing price and NAV, as at 19 November 2008

Price (p) Change on
day (%)
Debt added
at par (p)
Debt added
at market (p)
Discount /
(Premium) (%)
NAV includes income*
Ordinary shares 85.75 (3.1%) 90.39 90.39 5.1
Source: Martin Currie Investment Management Ltd

*Following on from the half yearly announcement made on 23 September, Martin Currie Portfolio Investment Trust plc will release only a cum-income Net Asset Value as of 1 October 2008.
Online charting

Visit TrustNet to chart the Trust's NAV performance.
Although we believe that the following figures are correct, we do not guarantee their accuracy. They may be subject to change without prior notice. We will not be liable for any loss, error or omission arising from any use of or reliance on them by any other person. Investment trust shares are priced by independent market makers. The share price is rarely the same as the NAV.
Discrete share price and NAV returns
12 MONTHS TO 31 OCT
2008
2007
2006
2005
2004
Share price
(30.4)
21.3
21.0
21.2
14.0
NAV
(33.6)
22.8
20.9
23.7
12.8
Past performance is not a guide to future returns.

Cumulative share price and NAV returns
PERIOD TO 31 OCT 2008
ONE MONTH
THREE MONTHS
SIX MONTHS
ONE YEAR
THREE YEARS
FIVE YEARS
Share price
(12.2)
(21.9)
(26.8)
(30.4)
2.1
41.1
NAV
(15.5)
(23.2)
(30.1)
(33.6)
(1.4)
37.5
Past performance is not a guide to future returns.

Source: Martin Currie and Fundamental Data. Bid to bid basis with net income reinvested over the periods shown in sterling terms. These figures do not include the costs of buying and selling shares in an investment trust. If these were included, performance figures would be reduced.

The value of investments and the income from them may go down as well as up and is not guaranteed. An investor may not get back the amount originally invested.
Online charting

Visit TrustNet to chart the Trust's share price performance.
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Issued in the UK by Martin Currie Investment Management Limited
Authorised and regulated by the Financial Services Authority
© 2008 Martin Currie Ltd
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