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Final Asset Values

31st Jan 2008 18:23

European Utilities Trust plc ("the Company")

Following the passing of the First Extraordinary General Meeting held on 24 January 2008, the Company today announces the Final Net Asset Value ("NAV") and Final Asset Value ("FAV") figures are as follows:

Ordinary Income Share NAV: 311.49p

Ordinary Income Share FAV: 303.51p

ZCP Share NAV: 319.46pZCP Share FAV: 350.50p31 January 2008END

For further information contact:

Nigel Sidebottom

Premier Asset Management 01483 306 090

Paul Richards/James King

Fairfax I.S. PLC 020 7598 5368

EUROPEAN UTILITIES TRUST PLC

Related Shares:

EUT.L
FTSE 100 Latest
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