Funds                 Date    Ticker Symbol  ISIN code   Shares in Issue Currency  Net Asset  NAV/per share
                                                                                                 Value         Base

Invesco FTSE RAFI UK 100 UCITS 13.03.2020     PSRU      IE00B23LNN70     859,201       GBP     6,458,276     7.51661
             ETF

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