Net Asset Value(s)
September 08 2003 - 6:47AM
UK Regulatory
VALUE AND INCOME TRUST PLC
Edinburgh Fund Managers plc, secretary to Value and Income Trust plc
(VIT), announce that the unaudited Net Asset Value of VIT Ordinary
shares as at 31 August 2003 was 108.67p. This figure does not include
any current year revenue items.