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POWERSHARES FTSE RAFI DEVELOPED 1000 FUND: Net Asset Value(s)

Funds       Date       Ticker ISIN code    Shares in  Currency Net Asset   
NAV/per   
                   Symbol              Issue               Value       
share     
                                                                       Base  
PowerShares 14.06.2013 PSRD   IE00B23D8W74 500,001    EUR      5,165,203   
10.33039 
FTSE RAFI                                                                        

Developed                                                                        

1000 Fund 
-0- Jun/17/2013 08:00 GMT
 
 
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