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UDN / UUP Prospectus
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UDN / UUP Fund Card
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Lastest Audited Financials
UUP Annual Report 2008
UDN Annual Report 2008
UUP Annual Report 2007
UDN Annual Report 2007
Most Recent Monthly Reports (Unaudited)
UUP - September 2009
UDN - September 2009
UUP - August 2009
UDN - August 2009
UUP - July 2009
UDN - July 2009
UUP - June 2009
UDN - June 2009
UUP - May 2009
UDN - May 2009
UUP - April 2009
UDN - April 2009
UUP - March 2009
UDN - March 2009
UUP - February 2009
UDN - February 2009
UUP - January 2009
UDN - January 20089
UUP - December 2008
UDN - December 2008
UUP - November 2008
UDN - November 2008
UUP - October 2008
UDN - October 2008
UUP - September 2008
UDN - September 2008
UUP - August 2008
UDN - August 2008
UUP - July 2008
UDN - July 2008
UUP - June 2008
UDN - June 2008
UUP - May 2008
UDN - May 2008
UUP - March 2008
UDN - March 2008
UUP - February 2008
UDN - February 2008
UUP - January 2008
UDN - January 2008
UUP - December 2007
UDN - December 2007
UUP - November 2007
UDN - November 2007
UUP - October 2007
UDN - October 2007
UUP - September 2007
UDN - September 2007
UUP - August 2007
UDN - August 2007
UUP - July 2007
UDN - July 2007
UDN - June 2007
UUP - June 2007
UDN - May 2007
UUP - May 2007
UDN - April 2007
UUP - April 2007
UDN - March 2007
UUP - March 2007
UDN - February 2007
UUP - February 2007
Press Releases
October 28, 2008 - Eleven PowerShares DB Exchange traded funds scheduled to move to the NYSE ARCA
UUP Financial Details
Ticker: UUP
Last Update
20-Nov-2009
16:14 PM
Price
26.29
DB Long USD Index Level
*
55.2019
Indicative Intra-day
NAV
**
22.4338
Last end of day
NAV
***
22.43328
Last date for end
of day NAV
20-Nov-2009
Data Source:
www.nyse.com
(Data delayed 20 minutes)
*
Indicative intra-day and Index closing
**
Indicative intra-day value of the Fund
***
Last end of day UUPNAV
UDN Financial Details
Ticker: UDN
Last Update
20-Nov-2009
16:14 PM
Price
25.00
DB Short USD Index Level
*
147.0004
Indicative Intra-day
NAV
**
28.3586
Last end of day
NAV
***
28.35791
Last date for end
of day NAV
20-Nov-2009
Data Source:
www.nyse.com
(Data delayed 20 minutes)
*
Indicative intra-day and Index closing
**
Indicative intra-day value of the Fund
***
Last end of day UDNNAV
About the Fund's Index
The DB Long USD Futures Index† is made up only of long USDX® futures contracts and the DB Short USD Futures Index† is made up only of short USDX® futures contracts.
Current Index Data
Downloads
UDN / UUP Prospectus
Download PDF
UDN / UUP Fund Card
Download PDF
SEC Filings
Click here to view
Most Recent Monthly Reports
(Unaudited)
UUP - September 2009
UDN - September 2009
UUP - July 2009
UDN - July 2009
UUP - June 2009
UDN - June 2009
UUP - May 2009
UDN - May 2009
UUP - April 2009
UDN - April 2009
UUP - March 2009
UDN - March 2009
UUP - February 2009
UDN - February 2009
UUP - January 2009
UDN - January 2009
Press Releases
December 12, 2008 - Deutsche Bank Announces Per Share Amounts Of DB Commodity And Currency Fund Distributions
October 28, 2008 - Eleven PowerShares DB Exchange traded funds scheduled to move to the NYSE ARCA
Contact Information
Any questions please call
1-877-369-4617
The funds described on this website are not mutual funds or any other type of investment company within the meaning of the Investment Company Act of 1940, as amended, and are not subject to regulation thereunder.
Shares are not individually redeemable. Owners of the Shares may acquire those Shares from the Fund or tender those Shares for redemption to the Fund in Creation and Redemption Units, respectively, typically consisting of 200,000 Shares.
ALPS Distributors, Inc. is the distributor for the funds. Certain marketing services may also be provided to the funds by Invesco Aim Distributors, Inc. or its affiliate, Invesco PowerShares Capital Management LLC. These firms are not affiliated with DB Commodity Services LLC, and are not sponsors or promoters of the funds and are not responsible for the performance of the funds or the decisions or actions of the DB Commodity Services LLC. PowerShares® is a registered trademark of Invesco PowerShares Capital Management LLC. Invesco PowerShares Capital Management LLC and Invesco Aim Distributors, Inc. are indirect, wholly owned subsidiaries of Invesco Ltd.
These investments are not suitable for all investors. There are risks associated with investing including possible loss of principal. Carefully consider each fund’s investment objectives, risk factors, and fees and expenses before investing. For further discussion of the risks associated with an investment in the funds please read the prospectus.
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