21 May 2015 17:06
RNS Number : 9820N
RBS Mkt Accss Jim Rogers Intl Com
21 May 2015
FUND NAME: | RBS Market Access Jim Rogers International Commodity Index Fund |
DEALING DATE: | 20-May-15 |
NAV PER SHARE: | Official NAV GBP 15.69 |
EUR (Equivalent) 21.99 | |
NUMBER OF SHARES ISSUED: | 7,240,331 |
BLOOMBERG CODE: | RICI LN |
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