REG-PS RAFI Global: Net Asset Value(s)

* Reuters is not responsible for the content in this press release.

Tue Apr 6, 2010 4:06am EDT

Funds       Date    Ticker  ISIN Code   Shares in  Currency   Net Asset    NAV/per 
                       Symbol                Issue                 Value       Share  
                                                                                      
PowerShares 01.04.2010  PSRD  IE00B23D8W74  500,001     EUR     4,498,585.72  8.99715 
 FTSE RAFI                                                                            
 Developed                                                                            
 1000 Fund
Comments (0)
This discussion is now closed. We welcome comments on our articles for a limited period after their publication.