i iShares MSCI EAFE Index Fund
(Symbol: EFA)
Inception: 8/17/01
Fund Description
The iShares MSCI EAFE Index Series (the "Series") is an exchange-traded fund designed to closely track the price and yield performance of publicly traded securities from Europe, Australia and the Far East, as measured by the MSCI EAFE Index.   
Fund Details  
Expense Ratio: 0.35%
Ticker Symbol:  EFA
Trading Increment: $0.01
Min Trade Size:  1 Share
Marginable:  Yes
Short Selling Allowed:  Yes, uptick exempt
Options Traded: No
Advisor: Barclays Global Fund Advisor
Administrator: PFPC Inc.
Distributor: SEI Investments Distribution Co.
Custodian: Chase Bank
Information Ticker Symbols  
Trading Symbol and Quotes:  EFA
Underlying Intraday Value: EFV
Net Asset Value: EFV.NV
Shares Outstanding: EFV.SO
Estimated Cash Amount per Creation Unit: EFV.EU
Total Cash Amount per Creation Unit: EFV.TC
Annual Performance
EFA
Expense Ratio
Net Variance (Fund vs. Index)
MSCI EAFE Index
Capital Gains and Income Distributions History
Ord. Income
Short Term Cap. Gains
Long Term Cap. Gains
Return of Capital
Total

i iShares Russell Midcap Value Index Fund
(Symbol: IWS)
Inception:  7/20/01
Fund Description
The  iShares Russell Midcap Value Index Fund is an exchange-traded fund that seeks investment results that corresponds to the price and yield performance of the U.S. large-cap value stocks with the lowest price-to-book ratios and lowest forecasted growth within the Russell Midcap, as represented by the Russell Midcap Value Index.   
Fund Details  
Expense Ratio: 0.25%
Ticker Symbol:  IWS
Trading Increment: $0.01
Min Trade Size:  1 Share
Marginable:  Yes
Short Selling Allowed:  Yes, uptick exempt
Options Traded: No
Advisor: Barclays Global Fund Advisor
Administrator: Investors Bank & Trust (IBT)
Distributor: SEI Investments Distribution Co.
Information Ticker Symbols  
Trading Symbol and Quotes:  IWS
Underlying Intraday Value: NIV
Net Asset Value: NIV.NV
Shares Outstanding: NIV.SO
Estimated Cash Amount per Creation Unit: NIV.EU
Total Cash Amount per Creation Unit: NIV.TC
Annual Performance
IWS
Expense Ratio
Net Variance (Fund vs. Index)
Russell Midcap Value Index
Capital Gains and Income Distributions History
Ord. Income
Short Term Cap. Gains
Long Term Cap. Gains
Return of Capital
Total

i iShares Goldman Sachs Networking Index Fund
(Symbol: IGN)
Inception:  7/13/01
Fund Description
The iShares Goldman Sachs Networking Index Fund is an exchange-traded fund that seeks investment results that correspond to the performance of U.S. stocks, as represented by the Goldman Sachs Networking Index.  
Fund Details  
Expense Ratio: 0.50%
Ticker Symbol:  IGN
Index Ticker:
Trading Increment: $0.01
Min Trade Size:  1 Share
Marginable:  Yes
Short Selling Allowed:  Yes, uptick exempt
Options Traded: No
Advisor: Barclays Global Fund Advisor
Administrator: Investors Bank & Trust (IBT)
Distributor: SEI Investments Distribution Co.
Information Ticker Symbols  
Trading Symbol and Quotes:  IGN
Underlying Intraday Value: NVK
Net Asset Value: NVK.NV
Shares Outstanding: NVK.SO
Estimated Cash Amount per Creation Unit: NVK.EU
Total Cash Amount per Creation Unit: NVK.TC
Annual Performance
IGN
Expense Ratio
Net Variance (Fund vs. Index)
 Goldman Sachs Networking Index
Capital Gains and Income Distributions History
Ord. Income
Short Term Cap. Gains
Long Term Cap. Gains
Return of Capital
Total

i iShares Goldman Sachs Semiconductor Index Fund
(Symbol: IGW)
Inception:  7/13/01
Fund Description
The iShares Goldman Sachs Semiconductor Index Fund is an exchange-traded fund that seeks investment results that correspond to the performance of U.S. stocks, as represented by the Goldman Sachs Semiconductor Index.  
Fund Details  
Expense Ratio: 0.50%
Ticker Symbol:  IGW
Index Ticker:
Trading Increment: $0.01
Min Trade Size:  1 Share
Marginable:  Yes
Short Selling Allowed:  Yes, uptick exempt
Options Traded: No
Advisor: Barclays Global Fund Advisor
Administrator: Investors Bank & Trust (IBT)
Distributor: SEI Investments Distribution Co.
Information Ticker Symbols  
Trading Symbol and Quotes:  IGW
Underlying Intraday Value: NVW
Net Asset Value: NVW.NV
Shares Outstanding: NVW.SO
Estimated Cash Amount per Creation Unit: NVW.EU
Total Cash Amount per Creation Unit: NVW.TC
Annual Performance
IGW
Expense Ratio
Net Variance (Fund vs. Index)
 Goldman Sachs Semiconductor Index
Capital Gains and Income Distributions History
Ord. Income
Short Term Cap. Gains
Long Term Cap. Gains
Return of Capital
Total

i iShares Goldman Sachs Software Index Fund
(Symbol: IGV)
Inception:  7/13/01
Fund Description
The iShares Goldman Sachs Software Index Fund is an exchange-traded fund that seeks investment results that correspond to the performance of U.S. stocks, as represented by the Goldman Sachs Software Index.  
Fund Details  
Expense Ratio: 0.50%
Ticker Symbol:  IGV
Index Ticker:
Trading Increment: $0.01
Min Trade Size:  1 Share
Marginable:  Yes
Short Selling Allowed:  Yes, uptick exempt
Options Traded: No
Advisor: Barclays Global Fund Advisor
Administrator: Investors Bank & Trust (IBT)
Distributor: SEI Investments Distribution Co.
Information Ticker Symbols  
Trading Symbol and Quotes:  IGV
Underlying Intraday Value: NVV
Net Asset Value: NVV.NV
Shares Outstanding: NVV.SO
Estimated Cash Amount per Creation Unit: NVV.EU
Total Cash Amount per Creation Unit: NVV.TC
Annual Performance
IGV
Expense Ratio
Net Variance (Fund vs. Index)
 Goldman Sachs Software Index
Capital Gains and Income Distributions History
Ord. Income
Short Term Cap. Gains
Long Term Cap. Gains
Return of Capital
Total

i iShares Russell Midcap Index Fund
(Symbol: IWR)
Inception:  7/20/01
Fund Description
The iShares Russell Midcap Index Fund is an exchange-traded fund that seeks investment results that corresponds to the price and yield performance of U.S. companies, as represented by the Russell Midcap Index.   
Fund Details  
Expense Ratio: 0.20%
Ticker Symbol:  IWR
Trading Increment: $0.01
Min Trade Size:  1 Share
Marginable:  Yes
Short Selling Allowed:  Yes, uptick exempt
Options Traded: No
Advisor: Barclays Global Fund Advisor
Administrator: Investors Bank & Trust (IBT)
Distributor: SEI Investments Distribution Co.
Information Ticker Symbols  
Trading Symbol and Quotes:  IWR
Intraday Value: NIZ
Net Asset Value: NIZ.NV
Shares Outstanding: NIZ.SO
Estimated Cash Amount per Creation Unit: NIZ.EU
Total Cash Amount per Creation Unit: NIZ.TC
Annual Performance
IWR
Expense Ratio
Net Variance (Fund vs. Index)
 Russell Midcap Index
Capital Gains and Income Distributions History
Ord. Income
Short Term Cap. Gains
Long Term Cap. Gains
Return of Capital
Total

i iShares Russell Midcap Growth Index Fund
(Symbol: IWP)
Inception:  7/20/01
Fund Description
The iShares Russell Midcap Growth Index Fund is an exchange-traded fund that seeks investment returns that corresponds to the price and yield performance of the U.S. large-cap growth stocks with the highest price-to-book ratios and highest forecasted growth within the Russell Midcap, as represented by the Russell Midcap Growth Index.  
Fund Details  
Expense Ratio: 0.25%
Ticker Symbol:  IWP
Trading Increment: $0.01
Min Trade Size:  1 Share
Marginable:  Yes
Short Selling Allowed:  Yes, uptick exempt
Options Traded: No
Advisor: Barclays Global Fund Advisor
Administrator: Investors Bank & Trust (IBT)
Distributor: SEI Investments Distribution Co.
Information Ticker Symbols  
Trading Symbol and Quotes:  IWP
Intraday Value: NIW
Net Asset Value: NIW.NV
Shares Outstanding: NIW.SO
Estimated Cash Amount per Creation Unit: NIW.EU
Total Cash Amount per Creation Unit: NIW.TC
Annual Performance
IWP
Expense Ratio
Net Variance (Fund vs. Index)
 Russell Midcap Growth Index
Capital Gains and Income Distributions History
Ord. Income
Short Term Cap. Gains
Long Term Cap. Gains
Return of Capital
Total