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Pin to quick picksAmundi Jpn Husd Regulatory News (JPXU)

Share Price Information for Amundi Jpn Husd (JPXU)

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Share Price: 198.18
Bid: 198.08
Ask: 198.36
Change: -2.37 (-1.18%)
Spread: 0.28 (0.141%)
Open: 199.58
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Low: 198.18
Prev. Close: 200.55
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Merger

19 Sep 2017 15:30

RNS Number : 1975R
Lyxor ETF JPX Nikkei 400 DailyHdgd$
19 September 2017
 

Dear all,

In order to improve economic efficiency and provide investors with an investment vehicle that is recognized internationally, Lyxor has decided to merge Lyxor JPX-Nikkei 400 UCITS ETF, this sub-fund of the French SICAV fund Multi Units France will be merged into a sub-fund of the Luxembourg SICAV fund Multi Units Luxembourg.

The fund will be merged at an exchange ratio of 1 for 1. You will therefore receive the same number of shares in the absorbing fund as you currently own in the absorbed fund. Each share class of this fund will be merged into an equivalent class (i.e. accumulation/distribution). When the sub-funds will be merged, the Absorbing fund will be listed on the same exchanges as the Absorbed Class on 22nd September 2017 and will keep the same TIDM.

 

Absorbed Unit Class

(Until 21st September 2017)

Absorbing Unit Class

(From 22nd September 2017)

ETF Name

TIDM

Trading currency

NEW SEDOL

Share-Class

ISIN

Share-Class

ISIN

LYXOR JPX-NIKKEI 400 UCITS ETF (DR)

JPXX

GBX

BF1CV95

Daily Hedged C-GBP

FR0012329142

Daily Hedged C-GBP

LU1646359619

JPXU

USD

BF1CVC8

Daily Hedged C-USD

FR0012329159

Daily Hedged C-USD

LU1646359882

JPX4

USD

BF07094

C-EUR

FR0012144582

C-EUR

LU1646359452

JPXG

GBX

BF0QVZ4

C-EUR

FR0012144582

C-EUR

LU1646359452

 

 

Prior to the above mentioned merger:

- The aforementioned Absorbed fund will be delisted from trading on the London Stock Exchange and all other markets on which they are quoting on the close of 21st September 2017 which will be the last trading day for the absorbed fund.

- The Absorbing fund will be listed on the London Stock exchange on the open of business of 22nd September 2017 and will keep the same TIDM than the former ISIN.

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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20th Apr 20238:17 amEQSAmundi Index MSCI Japan SRI PAB UCITS ETF DR - HEDGED USD (C): Net Asset Value(s)
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3rd Apr 20238:19 amEQSAmundi Index MSCI Japan SRI PAB UCITS ETF DR - HEDGED USD (C): Net Asset Value(s)
31st Mar 20238:17 amEQSAmundi Index MSCI Japan SRI PAB UCITS ETF DR - HEDGED USD (C): Net Asset Value(s)
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28th Mar 20238:17 amEQSAmundi Index MSCI Japan SRI PAB UCITS ETF DR - HEDGED USD (C): Net Asset Value(s)
27th Mar 20238:18 amEQSAmundi Index MSCI Japan SRI PAB UCITS ETF DR - HEDGED USD (C): Net Asset Value(s)
24th Mar 20238:30 amEQSAmundi Index MSCI Japan SRI PAB UCITS ETF DR - HEDGED USD (C): Net Asset Value(s)
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21st Mar 20238:18 amEQSAmundi Index MSCI Japan SRI PAB UCITS ETF DR - HEDGED USD (C): Net Asset Value(s)
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3rd Mar 20238:18 amEQSAmundi Index MSCI Japan SRI PAB UCITS ETF DR - HEDGED USD (C): Net Asset Value(s)
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