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SMALL BUSINESS
iShares PLC - Net Asset Value(s)
RNS Number:7730H
iShares PLC
15 November 2007
FUND: iShares FTSE 100
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 6.4436
NUMBER OF SHARES IN ISSUE: 266,019,707
CODE: ISF LN
FUND: iShares FTSE 250
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 10.9828
NUMBER OF SHARES IN ISSUE: 25,000,000
CODE: MIDD LN
FUND: iShares FTSEurofirst 80
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 13.7322
NUMBER OF SHARES IN ISSUE: 11,871,769
CODE: IEUR LN
FUND: iShares FTSEurofirst 100
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 31.9225
NUMBER OF SHARES IN ISSUE: 3,380,000
CODE: IEUT LN
FUND: iShares FTSE Xinhua China 25
DEALING DATE: 13-Nov-07
NAV PER SHARE: GBP 85.9267
NUMBER OF UNITS IN ISSUE: 5,400,000
CODE: FXC LN
FUND: iShares FTSE UK Dividend Plus
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 11.489829
NUMBER OF UNITS IN ISSUE: 23,200,000
CODE: IUKD LN
FUND: iShares FTSE / EPRA European Property
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 20.7103
NUMBER OF UNITS IN ISSUE: 9,100,000
CODE: IPRP LN
FUND: FTSE- Macquarie Infrastructure Fund
DEALING DATE: 13-Nov-07
NAV PER SHARE: GBP 15.4103
NUMBER OF UNITS IN ISSUE: 9,200,000
CODE: INFR LN
FUND: FTSE-EPRA Asia Property
DEALING DATE: 13-Nov-07
NAV PER SHARE: GBP 17.3048
NUMBER OF UNITS IN ISSUE: 4,800,000
CODE: IASP LN
FUND: FTSE-EPRA Global Property Yield Fund
DEALING DATE: 13-Nov-07
NAV PER SHARE: GBP 12.8781
NUMBER OF UNITS IN ISSUE: 1,400,000
CODE: IWDP LN
FUND: iShares FTSE EPRA/NAREIT US Property
Yield Fund
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 12.0033
NUMBER OF UNITS IN ISSUE: 1,000,000
CODE: IUSP LN
FUND: iShares EuroSTOXX MidCap
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 48.6937
NUMBER OF UNITS IN ISSUE: 4,100,000
CODE: DJMC LN
FUND: iShares EuroSTOXX SmallCap
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 30.836
NUMBER OF UNITS IN ISSUE: 7,800,000
CODE: DJSC LN
FUND: iShares DJ Stoxx 50
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 37.302033
NUMBER OF UNITS IN ISSUE: 22,100,000
CODE: EUN LN
FUND: iShares DJ Euro Stoxx 50
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 43.507813
NUMBER OF UNITS IN ISSUE: 94,100,000
CODE: EUE LN
FUND: iShares DJ Euro STOXX Growth
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 31.760165
NUMBER OF UNITS IN ISSUE: 7,800,000
CODE: IDJG LN
FUND: iShares DJ Euro STOXX Select Dividend
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 33.677316
NUMBER OF UNITS IN ISSUE: 22,300,000
CODE: IDVY LN
FUND: iShares DJ Euro STOXX Value
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 34.209187
NUMBER OF UNITS IN ISSUE: 2,000,000
CODE: IDJV LN
FUND: iShares MSCI Japan
DEALING DATE: 13-Nov-07
NAV PER SHARE: 6.5882
NUMBER OF UNITS IN ISSUE: 150,600,000
CODE: IJPN LN
FUND: iShares MSCI Brazil
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 31.4259
NUMBER OF UNITS IN ISSUE: 10,000,000
CODE: IBZL LN
FUND: iShares MSCI Eastern Europe
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 22.6198
NUMBER OF UNITS IN ISSUE: 5,600,000
CODE: IEER LN
FUND: iShares MSCI Emerging Markets
DEALING DATE: 13-Nov-07
NAV PER SHARE: 23.6107
NUMBER OF UNITS IN ISSUE: 35,000,000
CODE: IEEM LN
FUND: iShares MSCI Far East ex-Japan
DEALING DATE: 13-Nov-07
NAV PER SHARE: 24.9863
NUMBER OF UNITS IN ISSUE: 12,400,000
CODE: IFFF LN
FUND: iShares MSCI Korea
DEALING DATE: 13-Nov-07
NAV PER SHARE: 20.6560
NUMBER OF UNITS IN ISSUE: 5000000
CODE: IKOR LN
FUND: iShares MSCI Taiwan
DEALING DATE: 13-Nov-07
NAV PER SHARE: 18.8201
NUMBER OF UNITS IN ISSUE: 8000000.0000
CODE: ITWN LN
FUND: iShares MSCI World
DEALING DATE: 13-Nov-07
NAV PER SHARE: GBP 16.6128
NUMBER OF UNITS IN ISSUE: 29,200,000
CODE: IWRD LN
FUND: iShares MSCI Turkey
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 23.8695
NUMBER OF UNITS IN ISSUE: 2,700,000
CODE: ITKY LN
FUND: iShares S&P 500
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 7.1402
NUMBER OF UNITS IN ISSUE: 195,750,000
CODE: IUSA LN
FUND: iShares AEX Tracker
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 36.5338
NUMBER OF UNITS IN ISSUE: 1,700,000
CODE: IAEX LN
FUND: iShares # Corporate Bond
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 130.4964
NUMBER OF UNITS IN ISSUE: 1,600,000
CODE: SLXX LN
FUND: iShares Euro Corporate Bond
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 83.7742
NUMBER OF UNITS IN ISSUE: 5,850,000
CODE: IBCX LN
FUND: iShares $ Corporate Bond
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 50.5091
NUMBER OF UNITS IN ISSUE: 1,200,000
CODE: LQDE LN
FUND: iShares Euro Inflation Linked Bonds
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 114.6765
NUMBER OF UNITS IN ISSUE: 1,100,000
CODE: IBCI LN
FUND: DJ Asia/Pacific Select Dividend
DEALING DATE: 13-Nov-07
NAV PER SHARE: GBP 19.1281
NUMBER OF UNITS IN ISSUE: 4,100,000
CODE: IAPD LN
FUND: MSCI Europe ex-UK
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 21.2503
NUMBER OF UNITS IN ISSUE: 8,200,000
CODE: IEUX LN
FUND: MSCI North America
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 14.1166
NUMBER OF UNITS IN ISSUE: 8,600,000
CODE: INAA LN
FUND: iShares Euro Government Bond
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 93.3778
NUMBER OF UNITS IN ISSUE: 1,720,000
CODE: IBGS LN
FUND: iShares $ Treasury Bond l-3
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 60.6878
NUMBER OF UNITS IN ISSUE: 1,240,000
CODE: IBTS LN
FUND: iShares # Index-Linked Gilts
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 10.29763
NUMBER OF UNITS IN ISSUE: 7,500,000
CODE: INXG LN
FUND: iShares FTSE UK All Stocks Gilt
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 13.7389
NUMBER OF UNITS IN ISSUE: 11,500,000
CODE: IGLT LN
FUND: iShares Euro Government Bond 3-5
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 136.901488
NUMBER OF UNITS IN ISSUE: 520,000
CODE: IBGX LN
FUND: iShares Euro Government Bond 7-10
DEALING DATE: 14-Nov-07
NAV PER SHARE: EUR 142.994871
NUMBER OF UNITS IN ISSUE: 280,000
CODE: IBGM LN
FUND: iShares Euro Government Bond 15-30
DEALING DATE: 14-Nov-07
NAV PER SHARE: USD 151.339939
NUMBER OF UNITS IN ISSUE: 360,000
CODE: IBGL LN
FUND: iShares $ Treasury Bond 7-10
DEALING DATE: 14-Nov-07
NAV PER SHARE: USD 155.555672
NUMBER OF UNITS IN ISSUE: 320,000
CODE: IBTM LN
FUND: iShares $ TIPS
DEALING DATE: 14-Nov-07
NAV PER SHARE: USD 144.841043
NUMBER OF UNITS IN ISSUE: 1,280,000
CODE: ITPS LN
FUND: iShares S&P Listed Private Equity
DEALING DATE: 13-Nov-07
NAV PER SHARE: USD 22.917522
NUMBER OF UNITS IN ISSUE: 600,000
CODE: IPRV LN
FUND: iShares S&P Global Water
DEALING DATE: 13-Nov-07
NAV PER SHARE: USD 27.93797
NUMBER OF UNITS IN ISSUE: 4,200,000
CODE: IH2O LN
FUND: iShares FTSE EPRA NAREIT UK Property
Fund
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 6.99029
NUMBER OF UNITS IN ISSUE: 1,800,000
CODE: IUKP LN
FUND: iShares FTSE BRIC 50
DEALING DATE: 13-Nov-07
NAV PER SHARE: GBP 19.2325
NUMBER OF UNITS IN ISSUE: 1900000
CODE: BRIC LN
FUND: iShares S&P MIB
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 16.1862
NUMBER OF UNITS IN ISSUE: 300,000
CODE: IMIB LN
FUND: iShares S&P Global Clean Energy
DEALING DATE: 13-Nov-07
NAV PER SHARE: GBP 15.4886
NUMBER OF UNITS IN ISSUE: 1,700,000
CODE: INRG LN
FUND: iShares MSCI Europe
DEALING DATE: 14-Nov-07
NAV PER SHARE: GBP 16.8428
NUMBER OF UNITS IN ISSUE: 1900000
CODE: IMEU LN
FUND: iShares MSCI EM Latin America
DEALING DATE: 14-Nov-07
NAV PER SHARE: 27.278254
NUMBER OF UNITS IN ISSUE: 300,000
CODE: LTAM
FUND: iShares S&P Timber and Forestry
DEALING DATE: 13-Nov-07
NAV PER SHARE: 24.518002
NUMBER OF UNITS IN ISSUE: 500,000
CODE: WOOD
This information is provided by RNS
The company news service from the London Stock Exchange
END
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