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Net Asset Value(s)

30th Apr 2009 07:51

RNS Number : 4390R
MarketGrader Small Cap
30 April 2009
 



Fund Name

Date

ISIN Code

Ticker Symbol

Shares in Issue

TER

Currency

Net Asset Value 

NET NAV/per Share 

CAP NAV/per Share 

SPA ETF Market Grader Small Cap

29/04/2009

IE00B1X6R117

SMSC

25,000

3.88%

USD

1,251,070.87

50.0428

51.6517

Fund Name

Date

ISIN Code

Ticker Symbol

Shares in Issue

TER

Currency

Net Asset Value 

NET NAV/per Share 

CAP NAV/per Share 

SPA ETF Market Grader Small Cap (£)

29/04/2009

IE00B1X6R117

SPSC

25,000

3.88%

GBP

847,321.53

33.8928

34.9825

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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