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19 November 2008's NAV per Share:
SGD $ 1.71
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streettrACKS



Press Release 
 
18 Jul 2008 - streetTRACKS Straits Times Index Fund Dividend Announcement
22 Jan 2008 - streetTRACKS Straits Times Index Fund Dividend Announcement
8 Jan 2008 - streetTRACKS Straits Times Index Fund (STI ETF) Announces 10 for 1 Stock Split
18 Jul 2007 - streetTRACKS Straits Times Index Fund Dividend Announcement
16 Jan 2007 - streetTRACKS Straits Times Index Fund Dividend Announcement
18 Jul 2006 - streetTRACKS Straits Times Index Fund Dividend Announcement
13 Jan 2006 - streetTRACKS Straits Times Index Fund Dividend Announcement
27 Jul 2005 - streetTRACKS Straits Times Index Fund Dividend Announcement
25 Jun 2004 - streetTRACKS Straits Times Index Fund Dividend Announcement
14 Nov 2003 - streetTRACKS Straits Times Index Fund DIVIDEND ANNOUNCEMENT
18 Jun 2003 - streetTRACKS STI Announces Dividend of S$0.26 per share
26 Mar 2002 - Singapore's First Local ETF On The STI To List On 17 April 2002
18 Oct 2000 - SGX to launch Singapore's first indigenous exchange traded fund
 
 
Important Legal Information
 
The Prospectus in respect of the offer of the units (the "Units") in the streetTRACKS® Straits Times Index Fund (the "Fund") is available and may be obtained upon request, subject to availability, from State Street Global Advisors Singapore Limited ("SSgA"). Investors should read the Prospectus before deciding whether to acquire Units in the Fund. The value of Units and the income from them may fall as well as rise. Units in the Fund are not obligations of, deposits in, or guaranteed by, SSgA or any of its affiliates. An investment in Units is subject to investment risks, including the possible loss of the principal amount invested. Past performance figures are not necessarily indicative of future performance of the Fund.

Investors have no right to request SSgA to redeem their Units while the Units are listed. It is intended that holders of Units may only deal in their Units through trading on the Singapore Exchange Securities Trading Limited ("SGX-ST"). Listing of the Units on the SGX-ST does not guarantee a liquid market for the Units.

The streetTRACKS® Straits Times Index Fund (the "Fund") is not in any way sponsored, endorsed, sold or promoted by SPH Data Services Pte Ltd or Singapore Press Holdings Ltd (collectively "SPH") or FTSE International Limited ("FTSE"). SPH and FTSE make no warranties or representations whatsoever, either expressly or impliedly, either as to the results to be obtained from the Straits Times Index ("STI") and/or the figure at which the STI stands at any particular time on any particular day or otherwise. SPH and FTSE do not warrant or represent or guarantee to any broker or holder of any units in the Fund sold or marketed by State Street Global Advisors Singapore Limited or any member of the public as to the accuracy or completeness of the STI and its computation or any related information. No warranties, representations or guarantees of any kind are made in relation to the STI or the Fund by FTSE or SPH. The units in the Fund are not issued, endorsed, sold or promoted by FTSE or SPH and neither FTSE nor SPH bear any liability in connection with the administration, marketing or trading of the units in the Fund. The STI is calculated by FTSE and neither FTSE nor SPH accept any liability (whether in negligence or otherwise) towards any person for any error in the STI and shall not be under any obligation to advise any person of any error therein. The compilation or composition of the STI or the constituent stocks and factors may be altered or changed by FTSE without notice. All intellectual property rights in the STI vest in SPH.

Each of Singapore Exchange Securities Trading Limited, its subsidiaries, related corporations, and holding company, and their respective directors or employees, and any other party involved in, or related to, making or compiling the STI (together, the "Relevant Persons") makes no guarantee, warranty, representation or undertaking, express or implied, as to the accuracy, correctness, timeliness, completeness, originality, satisfactory quality, merchantability or fitness for any particular purpose of any of the values of the STI, the indicative optimum portfolio value of the Units, or any information or data included in or referable to such values. Investing in the Units involves risks, which in any case, are disclaimed by the Relevant Persons and described more fully in the Prospectus. The Units are also subject to the terms and conditions (and disclaimers by the Relevant Persons) set out in the Trust Deed constituting the Units.