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

PowerShares 25.10.2016 HDLVUKN  IE00BYYXBD20 200,001    GBP      5,136,484     25.68229
FTSE UK
High
Dividend
Low
Volatility
UCITS ETF
                                                                               

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