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Share Price: 7.7675
Bid: 7.754
Ask: 7.781
Change: -0.0295 (-0.38%)
Spread: 0.027 (0.348%)
Open: 7.797
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MIRAE ASSET ETF ICAV 14.01.22

17 Jan 2022 10:48

RNS Number : 6689Y
Mirae Asset ETF ICAV
17 January 2022
 

MIRAE ASSET ETF ICAV - (the 'Company')

 

 

Global X Video Games & Esports UCITS ETF

 

Legal Entity Identifier: 635400MFSOFCJPCCOO16

USD Class

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at: 14th January 2022

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

13.0161

 

Legal Entity Identifier: 635400MFSOFCJPCCOO16

GBP Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE GBP SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

13.0094

 

 

 

Global X Telemedicine & Digital Health UCITS ETF

 

Legal Entity Identifier: 635400EQDKUOQILBT256

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

12.0564

 

 

Legal Entity Identifier: 635400EQDKUOQILBT256

GBP Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE GBP SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

 

 

 

 

12.0549

Global X CleanTech UCITS ETF

 

Legal Entity Identifier: 635400AFWBVKC5AB2I24

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

10.8496

Global X E-Commerce UCITS ETF

 

Legal Entity Identifier: 63540034CYJCNTZ1E620

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE

 

 

Global X E Data center REITS & Digital infrastructure UCITS ETF

 

Legal Entity Identifier: 63540034CYJCNTZ1E620

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

12.0394

 

 

 

 

 

 

 

 

 

14.4777

Global X Autonomous & Electric Vehicles UCITS ETF

 

Legal Entity Identifier: 635400CC4MJG9XXZ1U96

USD Acc Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

 

14.8133

 

 

 

 

 

 

 

 

Global X Autonomous & Electric Vehicles UCITS ETF

 

Legal Entity Identifier: 635400CC4MJG9XXZ1U96

USD Dist Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

14.8130

Global X Cybersecurity UCITS ETF

 

Legal Entity Identifier: 635400FRRG83QQFGTI05

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

12.6924

Global X Robotics & Artificial Intelligence UCITS ETF

 

Legal Entity Identifier: 635400VIPQSO36S5N478

USD Acc Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

20.9787

 

Global X Robotics & Artificial Intelligence UCITS ETF

 

Legal Entity Identifier: 635400VIPQSO36S5N478

USD Dist Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

20.9786

Global X Fintech UCITS ETF

 

Legal Entity Identifier: 635400XEQHWRHSUTKK03

USD Acc Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

11.0921

 

 

Global X Fintech UCITS ETF

 

Legal Entity Identifier: 635400XEQHWRHSUTKK03

USD Dist Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

11.0917

 

Global X Genomics & Biotechnology UCITS ETF

 

Legal Entity Identifier: 635400XSQPICP9EXHC41

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

 

12.1339

 

Global X U.S Infrastructure Developments UCITS ETF

 

Legal Entity Identifier: 6354001HPQGMPPURAG81

USD Acc Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

25.4724

 

 

 

 

Global X U.S Infrastructure Developments UCITS ETF

 

 

Legal Entity Identifier: 6354001HPQGMPPURAG81

USD Dist Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE GBP SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE: 25.4706

 

 

 

 

 

Global X Lithium & Battery Tech UCITS ETF

 

Legal Entity Identifier: 635400ZIEHZHIQMNOI55

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

14.6077

 

 

Global X Internet of Things UCITS ETF

 

Legal Entity Identifier: 635400ZIEHZHIQMNOI55

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

14.0113

 

 

 

 

 

Global X Cloud Computing UCITS ETF

 

Legal Entity Identifier: 635400ZWP5MYLW8DBY21

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

Global X Renewable Producers UCITS ETF

 

Legal Entity Identifier: 635400ZWP5MYLW8DBY21

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

11.7120

 

 

 

 

 

 

 

 

 

14.3328

Global X Copper Miners UCITS ETF

 

Legal Entity Identifier: 635400TZVL5PPZPOOS52

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE:

 

 

 

 

 

 

Global X Clean Water UCITS ETF

 

Legal Entity Identifier: 635400TZVL5PPZPOOS52

USD Class

 

THE COMPANY ANNOUNCES THE UNAUDITED NET ASSET VALUE (NAV) As at 14th January 2022

 

THE NET ASSET VALUE PER SHARE OF THE USD SHARE CLASS, INCLUDING INCOME WITH DEBT AT FAIR VALUE: 24.5106

 

 

 

 

 

 

27.9913

 

 

 

 

 

 

 

 

 

 

 

 

 

Name of contact and telephone number for queries:

 

George Bredin +353(0)16382647

Date: 17th January 2022

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.
 
END
 
 
NAVEAEFXFLXAEFA
Date   Source Headline
19th Oct 202211:17 amRNSMIRAE ASSET ETF ICAV 18.10.22
18th Oct 202210:25 amRNSMIRAE ASSET ETF ICAV 17.10.22
17th Oct 202211:02 amRNSMIRAE ASSET ETF ICAV 14.10.22
14th Oct 202211:12 amRNSMIRAE ASSET ETF ICAV 13.10.22
13th Oct 202211:15 amRNSMIRAE ASSET ETF ICAV 12.10.22
12th Oct 202211:01 amRNSMIRAE ASSET ETF ICAV 11.10.22
11th Oct 202210:02 amRNSMIRAE ASSET ETF ICAV 10.10.22
10th Oct 202210:31 amRNSMIRAE ASSET ETF ICAV 07.10.22
7th Oct 202211:19 amRNSMIRAE ASSET ETF ICAV 06.10.22
6th Oct 20223:18 pmRNSDividend Declaration Global X ETF's ICAV
6th Oct 202211:21 amRNSMIRAE ASSET ETF ICAV 05.10.22
5th Oct 202210:13 amRNSMIRAE ASSET ETF ICAV 04.10.22
4th Oct 202211:14 amRNSMIRAE ASSET ETF ICAV 03.10.22
3rd Oct 202211:23 amRNSMIRAE ASSET ETF ICAV 30.09.22
30th Sep 202211:03 amRNSMIRAE ASSET ETF ICAV 29.09.22
29th Sep 20225:12 pmRNSGlobalX Hydrogen UCITSETF shareholder notification
29th Sep 202210:35 amRNSMIRAE ASSET ETF ICAV 28.09.22
28th Sep 202212:28 pmRNSMIRAE ASSET ETF ICAV 27.09.22
27th Sep 202210:32 amRNSMIRAE ASSET ETF ICAV 26.09.22
26th Sep 202211:18 amRNSMIRAE ASSET ETF ICAV 23.09.22
23rd Sep 202210:55 amRNSMIRAE ASSET ETF ICAV 22.09.22
22nd Sep 202210:48 amRNSMIRAE ASSET ETF ICAV 21.09.22
21st Sep 202210:53 amRNSMIRAE ASSET ETF ICAV 20.09.22
20th Sep 202210:25 amRNSMIRAE ASSET ETF ICAV 19.09.22
19th Sep 202210:17 amRNSMIRAE ASSET ETF ICAV 16.09.22
16th Sep 202210:28 amRNSMIRAE ASSET ETF ICAV 15.09.22
15th Sep 202211:13 amRNSMIRAE ASSET ETF ICAV 14.09.22
14th Sep 202210:24 amRNSMIRAE ASSET ETF ICAV 13.09.22
13th Sep 20229:53 amRNSMIRAE ASSET ETF ICAV 12.09.22
12th Sep 202210:15 amRNSMIRAE ASSET ETF ICAV 09.09.22
9th Sep 20229:58 amRNSMIRAE ASSET ETF ICAV 08.09.22
8th Sep 20222:46 pmRNSDividend Declaration Global X ETF's ICAV
8th Sep 202211:17 amRNSMIRAE ASSET ETF ICAV 07.09.22
7th Sep 202210:44 amRNSMIRAE ASSET ETF ICAV 06.09.22
5th Sep 202210:06 amRNSMIRAE ASSET ETF ICAV 02.09.22
2nd Sep 202210:52 amRNSMIRAE ASSET ETF ICAV 01.09.22
1st Sep 202210:36 amRNSMIRAE ASSET ETF ICAV 31.08.22
31st Aug 202210:30 amRNSMIRAE ASSET ETF ICAV 30.08.22
30th Aug 202210:00 amRNSMIRAE ASSET ETF ICAV 29.08.22
30th Aug 20227:00 amRNSMIRAE ASSET ETF ICAV 26.08.22
26th Aug 20229:55 amRNSMIRAE ASSET ETF ICAV 25.08.22
25th Aug 20229:42 amRNSMIRAE ASSET ETF ICAV 24.08.22
24th Aug 202211:11 amRNSMIRAE ASSET ETF ICAV 23.08.22
23rd Aug 202211:08 amRNSMIRAE ASSET ETF ICAV 22.08.22
22nd Aug 202210:32 amRNSMIRAE ASSET ETF ICAV 19.08.22
19th Aug 202211:22 amRNSMIRAE ASSET ETF ICAV 18.08.22
18th Aug 202210:31 amRNSMIRAE ASSET ETF ICAV 17.08.22
17th Aug 202210:09 amRNSMIRAE ASSET ETF ICAV 16.08.22
16th Aug 202211:36 amRNSMIRAE ASSET ETF ICAV 15.08.22
15th Aug 202210:28 amRNSMIRAE ASSET ETF ICAV 12.08.22

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