iShares Trust - iShares Russell 1000 Value Index Fund reported unaudited earnings results for the year ended March 31, 2012. For the year, the company reported net investment income of $259,248,051 or $1.51 per share compared to net investment income of $209,795,992 or $1.34 per share a year ago. Net increase in net assets resulting from operations was $550,814,988 compared to $1,418,447,772 a year ago. Total distributions to shareholders from net investment loss of $260,928,366 or $1.51 per share compared to total distributions to shareholders from net investment loss of $212,245,294 or $1.33 per share a year ago. Increase in net assets was $229,866,273 compared to $2,764,443,854 a year ago. Net asset value per share was $70.16 per share as on March 31, 2012 compared to $68.67 per share as on March 31, 2011. Total income from investment operations was $3.00 per share compared to $8.94 per share a year ago.