Net Asset Value(s)
December 19 2008 - 3:02AM
UK Regulatory
RNS Number : 4592K
MarketGrader Mid Cap
19 December 2008
Fund Name Date ISIN Code Ticker Symbol Shares in Issue TER Currency Net Asset Value NET NAV/per
Share CAP NAV/per Share
SPA ETF Market Grader Mid Cap 18/12/2008 IE00B1X6PV73 SMMC 25,000 3.79% USD 1,309,926.83 52.3971
48.1793
Fund Name Date ISIN Code Ticker Symbol Shares in Issue TER Currency Net Asset Value NET NAV/per
Share CAP NAV/per Share
SPA ETF Market Grader Mid Cap 18/12/2008 IE00B1X6PV73 SPMC 25,000 3.79% GBP 854,039.54 34.1616
31.4117
(�)
This information is provided by RNS
The company news service from the London Stock Exchange
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