*Returns for Funds with performance less than a year are cumulative and are not annualized.
Performance data quoted represents past performance, which is no guarantee of future results, and current performance may be lower or higher than the figures shown. The investment return and principal value of an investment will fluctuate with changes in market conditions and other factors so that an investor’s shares, when redeemed, may be worth more or less than their original cost.
Per the prospectus dated July 27, 2009, the Fund’s total annual operating expense ratio, gross of any fee waivers or expense reimbursements, is 0.45%. The expense ratio is expressed as a unitary fee and covers all expenses of the Fund, except for the fee payments under the investment advisory agreement, distribution fees, if any, brokerage expenses, taxes, interest, litigation expenses and other extraordinary expenses.
After tax returns are calculated using the historical highest individual federal marginal income tax rates during the periods shown and do not reflect the impact of state and local taxes. Actual after tax returns depend on an investor’s tax situation and may differ from those shown.
Since Inception returns assume a purchase of the ETF at the initial share price for share price returns or the initial net asset value (NAV) per share for NAV returns. Returns for periods of less than one year are not annualized. Returns included a reinvestment of distributions.
Premium/Discount Data
Quarter Ended 12/31/09)
| Premium Discount Range |
Number of Days |
Percentage of Total Days |
| Between +1.5% and +1.0% |
1 |
1.56% |
| Between +1.0% and +0.5% |
3 |
4.69% |
| Between +0.5% and -0.5% |
54 |
84.38% |
| Between -0.5% and -1.0% |
2 |
3.13% |
| Between -1.0% and -1.5% |
2 |
3.13% |
| Between -1.5% and -2.0% |
1 |
1.56% |
| Less Than -2.0% |
1 |
1.56% |
ETFs may trade at a market premium/discount to net asset value. The Premium/Discount chart shows the difference between the daily bid/ask mid point for shares of the Fund and the Fund's net asset value. The bid/ask mid point is determined using the midpoint between the highest bid and the lowest offer on the listing exchange, as of the time that the Fund's NAV is calculated (usually 4:00 pm Eastern time). Past performance does not guarantee future results.
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