RNS Number:9028W
Thompson Clive Investments PLC
6 June 2002


To : Stock Exchange Announcements Office

From : Susan A Thompson, Company Secretary

Thompson Clive Investments plc

Date : 6 June 2002



Thompson Clive Investments plc ("the Company") announces that its unaudited net
asset value as at 31 May 2002 is £5.43 per share before payment of an ordinary
and of a special dividend on 6 June 2002.

The net asset value is not strictly comparable to that at 30 April 2002 (£5.49
per share) since the Company had the exceptional expense of a tender offer for
£9.53m of shares on 9 May 2002.



                      This information is provided by RNS
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