Net Asset Value(s)
May 07 2010 - 6:29AM
UK Regulatory
TIDMGMF
GARTMORE MANAGED INVESTMENT TRUSTS:
=--
GARTMORE FLEDGLING
NAV PER SHARE (BID) As at 06-May-10
EXCLUDING undistributed current year revenue
Portfolio valued using BID prices.
Ordinary shares 463.6p
.
GARTMORE FLEDGLING
NAV PER SHARE (BID) As at 06-May-10
INCLUDING current year revenue
Portfolio valued using BID prices.
Ordinary shares 464.5p
=--
END
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