|
 |
 |
| | | | | |
ETC List
(1) For more information, please visit the detailed pricing page by clicking on the relevant NAV figure above. Note: Indicative Net Asset Value is calculated daily in USD, but quoted in EUR on Euronext.
(2) Fee is a weighted average of the four constituent Metal Securities included in the PM Basket, as at 17th December 08
|
 |
|