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Net Asset Value(s)

4 Sep 2007 09:39

EUROPEAN UTILITIES TRUST PLC

The net asset value per Ordinary Income share of European Utilities Trust plc as at the close of business on 31 August 2007 was 286.82p.

The net asset value per Zero Coupon Preference share of European Utilities Trust plc was 310.34p.

Funds under management were ‚£39,579,558.

The portfolio has been valued using bid prices.

Movements in the fair value of the Company's derivative financial instrument are recognised in the net asset value. This comprises of an interest rate swap associated with the Company's borrowings.

The analysis of the gross assets less current liabilities at 31 August 2007 by geographical area is as follows:

Czech Republic 6% France 11% Germany 14% Greece 4% Italy 12% Portugal 3% Spain 10% United Kingdom 34% Cash 6% 100%

EUROPEAN UTILITIES TRUST PLC

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