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"Synergy-2 Fund's Portfolio Index Table


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 Graph
Date Portfolio Value, UAH NAV per Share, UAH NAV Change per Share,% Fund Index Quantity PFTS Index Relative PFTS Index*
May 30 , 2005 370,000.00 10,000.00 0.00 1.000 37 302.88 1.000
June 1 , 2005 9,089,843.55 9,988.84 -0.11 0.999 910 305.70 1.009
July 1 , 2005 9,238,715.48 10,152.43 +1.52 1.015 910 297.09 0.981
August 1 , 2005 14,846,572.93 10,529.48 +5.29 1.053 1,410 318.18 1.051
September 1 , 2005 16,524,563.32 11,719.55 +17.20 1.172 1,410 358.11 1.182
October 1 , 2005 16,581,925.14 11,760.23 +17.60 1.176 1,410 348.77 1.152
November 1 , 2005 19,023,342.37 12,741.69 +27.42 1.274 1,493 338.20 1.117
December 1 , 2005 19,149,673.93 12,826.31 +28.26 1.283 1,493 336.85 1.112
January 1 , 2006 19,830,132.90 12,986.33 +29.86 1.299 1,527 352.97 1.165
February 1 , 2006 21,012,022.22 13,547.40 +35.47 1.355 1,551 358.80 1.185
March 1 , 2006 28,482,435.58 15,876.50 +58.76 1.588 1,794 429.28 1.417
April 1 , 2006 30,558,176.79 16,544.76 +65.45 1.654 1,847 428.29 1.414
May 1 , 2006 31,980,279.50 16,938.71 +69.39 1.694 1,888 443.46 1.464
June 1 , 2006 41,872,413.48 16,504.70 +65.05 1.650 2,537 405.67 1.339
July 1 , 2006 41,715,823.47 16,442.97 +64.43 1.644 2,537 380.24 1.255
August 1 , 2006 41,196,205.59 16,238.16 +62.38 1.624 2,537 379.62 1.253
September 1 , 2006 42,466,872.60 16,739.01 +67.39 1.674 2,537 413.94 1.367
October 1 , 2006 41,758,680.96 16,459.87 +64.60 1.646 2,537 401.81 1.327
November 1 , 2006 42,181,795.30 16,626.64 +66.27 1.663 2,537 417.23 1.378
December 1 , 2006 44,749,180.16 17,638.62 +76.39 1.764 2,537 444.00 1.466
January 1 , 2007 54,443,704.36 21,459.88 +114.60 2.146 2,537 498.86 1.647
February 1 , 2007 61,658,476.95 24,303.70 +143.04 2.430 2,537 583.45 1.926
March 1 , 2007 74,988,814.83 29,558.07 +195.58 2.956 2,537 719.93 2.377
April 1 , 2007 80,330,959.73 31,663.76 +216.64 3.166 2,537 810.97 2.678
May 1 , 2007 80,492,428.55 31,727.41 +217.27 3.173 2,537 821.57 2.713
June 1 , 2007 85,718,505.83 33,787.35 +237.87 3.379 2,537 883.54 2.917
July 1 , 2007 95,113,095.54 37,490.38 +274.90 3.749 2,537 996.43 3.290
August 1 , 2007 110,787,000.49 43,668.51 +336.69 4.367 2,537 1,091.06 3.602
September 1 , 2007 109,499,788.64 43,161.13 +331.61 4.316 2,537 989.60 3.267
October 1 , 2007 112,209,874.78 44,229.36 +342.29 4.423 2,537 1,034.38 3.415
November 1 , 2007 144,743,988.82 57,053.21 +470.53 5.705 2,537 1,177.00 3.886
December 1 , 2007 134,005,443.16 52,820.43 +428.20 5.282 2,537 1,108.53 3.660
January 1 , 2008 141,292,229.90 55,692.64 +456.93 5.569 2,537 1,174.02 3.876
February 1 , 2008 133,149,369.96 52,483.00 +424.83 5.248 2,537 1,093.85 3.611
March 1 , 2008 132,594,476.24 52,264.28 +422.64 5.226 2,537 1,102.08 3.639
April 1 , 2008 129,234,157.10 50,939.75 +409.40 5.094 2,537 959.31 3.167
May 1 , 2008 135,920,616.14 53,575.33 +435.75 5.358 2,537 855.21 2.824
June 1 , 2008 135,374,256.98 53,359.98 +433.60 5.336 2,537 912.24 3.012
July 1 , 2008 135,373,151.98 53,359.54 +433.60 5.336 2,537 767.57 2.534
August 1 , 2008 135,373,151.98 53,359.54 +433.60 5.336 2,537 655.03 2.163
September 1 , 2008 103,350,682.32 0.00 -100.00 0.000 0 533.68 1.762
October 1 , 2008 103,350,682.32 0.00 -100.00 0.000 0 369.47 1.220
November 1 , 2008 103,350,682.32 0.00 -100.00 0.000 0 252.31 0.833

* - for convenience, the conventional comparison unit equals 1.0 for both the Funds NAV per Share at inception (UAH 10,000) and PFTS Index (302.88 pts.) as of May 30, 2005.
 
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Kinto, Investment & Securities in Ukraine
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