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Tuesday, May 22, 2012  
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Confirmed Net Asset Value(s)

MW Indices PLC

MW TOPS Global Alpha (the "Fund")

CONFIRMED NET ASSET VALUE OF SHARES

The confirmed net asset value per share ("NAV") of each of the undermentioned three classes of shares of no par value in the Fund as at the close of business on 26 January 2012 is:

Share ClassGBpEURUSD
ISIN IE00B51SRD92 IE00B50TKR85

/DE000A1A4E90
IE00B52F6F48
NAV per share 1,002 10.02 9.98
Number of shares in issue 4,492,758 8,102,016 696,187




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information contained therein.

Source: MW TOPS GLOBAL ALPHA GBP SHARES via Thomson Reuters ONE

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