RNS Number:0584U
MarketGrader 40
09 May 2008
Fund Name Date ISIN Code Ticker Shares TER Currency Net Asset
NET NAV/ CAP NAV/
Symbol in Value
per per Share
Issue
Share
SPA ETF Plc Market Grader 40 08/05 IE00B1X4RN73 SMFT 175,000 0.85% USD 15,786,678.34
90.2096 88.4899
/2008
Fund Name Date ISIN Code Ticker Shares TER Currency Net Asset
NET NAV/ CAP NAV/
Symbol in Value
per per Share
Issue
Share
SPA ETF Plc Market Grader 40 08/05 IE00B1X4RN73 SPFT 175,000 0.85% GBP 8,069,250.13
46.1100 45.2310
(#) /2008
This information is provided by RNS
The company news service from the London Stock Exchange
END
NAVSSFSWUSASEDI
|