Corrected - Net Asset Value(s)
January 26 2004 - 11:59AM
UK Regulatory
The issuer wishes to advise that the announcement released today at 15.55 was
released under The M & G Income Investment Company Limited and should have been
released under The M & G Recovery Investment Company Limited. Please note that
the previous announcement released at 15.52 is the correct version for The M & G Income
Investment Company Limited
The Board wish to announce that the net asset value of the Company at 12.00pm
on the 26th January 2004 was �133.3 million
Zero dividend Shares = 37.45 Pence
Ordinary Shares = 24.54xd Pence
Package units = 86.53xd pence
END