Murray Income Trust

Murray Income Trust plc Period End 30 June 2010

Murray Income Trust plc Annual Report 2010
Fair value hierarchy used to classify financial instruments
UK investment trust Murray Income Trust now classifies its financial assets and liabilities in accordance with a three level fair value hierarchy.

Murray Income Trust plc Period End 30 June 2008

Murray Income Trust Annual Report 2008

Combining reserves prompts 46.6% increase in realised reserve
UK investment trust Murray Income Trust combines its capital reserves but no explanations are provided.

Murray Income Trust plc Period End 30 June 2007

Murray Income Trust Annual Report 2007

Restatement reveals previous error in accounting for treasury shares

UK investment trust Murray Income Trust restates its prior year balance sheet to correct an error in treating treasury shares as if they had been cancelled.