*

The figures

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Daily Stock Information 20 November 2008

SIT is a Global Growth Investment Trust based in the United Kingdom. We currently manage total assets in excess of £600 million.

Closing statistics for 19 November 2008

Closing Price

357.5p

52 Week High

526p

Change on Day

-9.5p

52 Week Low

311p

Yield

2.6%

NAV (est.) †

379.1p

Market Capitalisation (£'M)

463.4

Discount (est) †

5.7%

† with borrowings at market value
Source : Financial Times & Fundamental Data.

% Performance (total return at 31 October 2008)*

Share Price

NAV

1 year

-28.0

1 year

-31.2

3 year

+5.4

3 year

-0.7

5 year

+49.7

5 year

+29.5

Source : Fundamental Data.

* with Net Income Reinvested.

For SIT's weekly NAV please go to the News section of the web site.

For further details of historical performance click here.

Please remember that past performance may not be repeated and is no indicator of future performance. The value of shares and the income from them can go down as well as up as a result of market and currency fluctuations and investors may not get back the amount originally invested.  SIT has a long term policy of borrowing money to invest in equities in the expectation that this will improve returns and, should stockmarkets fall, such borrowings would magnify losses on these investments.  For planning purposes, an investment in The Scottish Investment Trust PLC should be viewed as a long term commitment. All sources SIT unless otherwise stated.  Industry Classification Benchmark (ICB):  Source and copyright© FTSE International Limited and Dow Jones & Company, Inc.  All rights therein reserved.  
 

SIT Weekly NAV

SIT Weekly NAV

SIT Monthly statement

SIT Monthly statement

 



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Registered Office 6 Albyn Place, Edinburgh, EH2 4NL ©2006 The Scottish Investment Trust PLC
An investment company registered in Scotland number 1651

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