iShares Trust - iShares Russell Top 200 Value Index Fund reported unaudited earnings results for the year ended March 31, 2012. For the year, the company reported net investment income of $3,772,930 or $0.68 per share compared to net investment income of $4,026,351 or $0.58 per share a year ago. Net decrease in net assets resulting from operations was $6,569,676 compared to net increase in net assets resulting from operations of $23,370,881 a year ago. Total distributions to shareholders from net investment loss of $3,886,195 or $0.81 per share compared to total distributions to shareholders from net investment loss of $3,990,419 or $0.56 per share a year ago. Decrease in net assets was $163,204,134 compared to increase in net assets of $78,955,437 a year ago. Net asset value per share was $30.22 per share as on March 31, 2012 compared to $29.44 per share as on March 31, 2011. Total income from investment operations was $1.59 per share compared to $3.11 per share a year ago.