iPath® MSCI India Index ETN

The iPath® MSCI India IndexService Mark ETNs are linked to the MSCI India Total Return IndexService Mark (the "Index"). The Index is a free-float-adjusted market capitalization index designed to measure the market performance, including price performance and income from dividend payments, of Indian equity securities. The Index seeks to represent approximately 85% of the free-float-adjusted market capitalization of equity securities by industry group within India. As of September 30, 2007, the Index was comprised of 62 companies listed on the National Stock Exchange of India (the "NSE").
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Product Data  (as of 11/20/2008)
Daily Indicative Value†
$26.10
Shares Outstanding
12,530,800
Market Capitalization*
$327,053,880

† Source: Barclays Bank PLC. The "Daily Indicative value" is historical, does not guarantee future performance, and is shown for illustrative purposes only. The issuer or an affiliate will provide the official Redemption Value to the redeeming holder in advance of any redemption. See additional information below.

* Market Capitalization = Daily Indicative Value x Shares Outstanding

Market Data  (as of 11/20/2008)
Closing Price
$24.53
High
$26.16
Net Change
-$1.30
Low
$24.30
% Change
-5.03%
Volume
595,932
20-Day Volume Average
496,545
Profile
Primary Exchange
NYSE Arca
Yearly Fee
0.89%¹
Ticker
INP
Bloomberg Index Ticker
NDEUSIA
Intraday Indicative Value Ticker
INP.IV
CUSIP
06739F291
Bloomberg ETN Keystroke
INP<EQUITY><GO>
Inception Date
12/19/2006
Maturity Date
12/18/2036
*With short sales, you risk paying more for a security than you receive from its sale.
Returns  (As of 10/31/2008)
1 mo.3 mo.6 mo.YTD1Yr.3 Yr.5 Yr.10 Yr.Since Note Incept.
Index-28.48%-42.31%-55.50%-63.91%-61.96%4.34%12.96%N/A-20.30%
iPath Indicative Value Return-29.18%-43.22%-56.45%-64.84%-62.99%N/AN/AN/A-21.68%


Market Price Returns  (As of 10/31/2008)
1 mo.3 mo.6 mo.YTD1Yr.3 Yr.5 Yr.10 Yr.Since Note Incept.
iPath Market Price Return-27.64%-42.15%-55.83%-67.06%-64.22%N/AN/AN/A-20.20%

Source: BGI. Period ending 10/08.

The performance quoted represents past performance and does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investment, when sold or redeemed may be worth more or less than the original cost. Current performance may be lower or higher than the performance quoted. See additional market price information.

Correlations  (As of 10/31/2008)
MSCI India Total Return IndexSM1.00
S&P 500 Index0.76
Lehman U.S. Aggregate Index0.25
MSCI EAFE Index0.78
MSCI Emerging Markets IndexSM0.81

Sources: MSCI, Inc., S&P, Lehman Brothers, BGI. Based on monthly returns, calculated for time period of 10/03-10/08.