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Net Asset Value(s)

2 Jul 2019 12:47

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, July 2

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274901-07-201956.75183,020,000171,390,436EUR
NL000927275601-07-201980.0614300,00024,018,420EUR
NL000927276401-07-201957.894173,00010,015,662EUR
NL000927277201-07-201962.0906318,00019,744,811EUR
NL000927278001-07-201964.543200,00012,908,600EUR
NL000969022101-07-201942.052521,306,190895,978,555EUR
NL000969023901-07-201939.94685,285,404211,134,977EUR
NL000969024701-07-201918.72452,158,39040,414,774EUR
NL000969025401-07-201914.42852,216,53731,981,304EUR
NL001027380101-07-201922.02446,461,000142,299,648EUR
NL001040870401-07-201984.95793,290,000279,511,491EUR
NL001073181601-07-201955.2697785,00043,386,715EUR
NL001137607401-07-201932.6676175,2555,725,160EUR
NL001168359401-07-201927.88591,000,00027,885,900EUR
total1,916,396,452
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