Correction Net Asset Value(s)
February 28 2003 - 10:24AM
UK Regulatory
GARTMORE SELECT JAPANESE
NAV PER SHARE As at 27-Feb-03
excluding undistributed current year revenue
Ordinary shares (Basic) 30.5p
Ordinary shares (Diluted) n/a
The issuer advises that the following replaces the net asset value
announcement released on
Friday 28 February 2003.
END