Treasury Stock

Daily NAV Announcement Edinburgh Investment Trust Plc The net asset value (unaudited) for the above fund at the close of business on 07/08/2002 was: Ex Income 345.07p: Cum Income 350.36p ------------------------------------------------------------ This information was brought to you by Waymaker http://www.waymaker.net The following files are available for download: http://www.waymaker.net/bitonline/2002/08/08/20020808BIT00400/wkr0001.doc http://www.waymaker.net/bitonline/2002/08/08/20020808BIT00400/wkr0002.pdf