Net Asset Value(s)

   Funds       Date     Ticker   ISIN code   Shares in  Currency   Net Asset    NAV/per  
                        Symbol                 Issue                 Value       share   
                                                                                 Base    
                                                                                         
                                                                                    
PowerShares 22.01.2016   PSDD   IE00B23D9463  900,001     USD      4,895,490    5.43943  
 FTSE RAFI                                                                               
   Asia                                                                                  
  Pacific                                                                                
 Ex-Japan                                                                                
 UCITS ETF                                                                               
                                                                                         
                                                                          
 
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