iShares Trust - iShares Russell 2000 Value Index Fund reported unaudited earnings results for the year ended March 31, 2012. For the year, the company reported net investment income of $79,462,315 or $1.36 per share compared to net investment income of $69,779,470 or $1.06 per share a year ago. Net decrease in net assets resulting from operations was $81,420,892 compared to net increase in net assets resulting from operations $792,408,431 a year ago. Total distributions to shareholders from net investment loss of $79,823,423 or $1.39 per share compared to total distributions to shareholders from net investment loss of $79,761,506 or $1.24 per share a year ago. Decrease in net assets was $662,059,696 compared to increase in net assets of $505,442,297 a year ago. Net asset value per share was $73.02 per share as on March 31, 2012 compared to $75.44 per share as on March 31, 2011. Total loss from investment operations was $1.03 per share compared to total income from operations of $12.84 per share a year ago.