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Net Asset Value(s)

22 Oct 2009 07:02

RNS Number : 2021B
iShares II $ S&P Listed Priv Eqty
22 October 2009
 

FUND: 

iShares S&P Listed Private Equity

DEALING DATE: 

20-Oct-09

NAV PER SHARE: 

Official NAV USD 12.5868

GBP (Equivalent) 7.5728

EUR (Equivalent) 8.3915

NUMBER OF UNITS IN ISSUE: 

6,900,000

CODE: 

IDPE LN 

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