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Net Asset Value(s)

25 Oct 2019 08:58

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, October 25

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274924-10-201958.19992,795,000162,668,721EUR
NL000927275624-10-201985.7235300,00025,717,050EUR
NL000927276424-10-201959.0766213,00012,583,316EUR
NL000927277224-10-201963.7736343,00021,874,345EUR
NL000927278024-10-201966.7829200,00013,356,580EUR
NL000969022124-10-201943.66821,806,190952,232,705EUR
NL000969023924-10-201943.51445,785,404251,748,384EUR
NL000969024724-10-201918.78092,308,39043,353,642EUR
NL000969025424-10-201914.6252,366,53734,610,604EUR
NL001027380124-10-201921.75236,731,000146,414,731EUR
NL001040870424-10-201988.05743,590,000316,126,066EUR
NL001073181624-10-201956.9258785,00044,686,753EUR
NL001137607424-10-201933.856175,2555,933,433EUR
NL001168359424-10-201928.80231,150,00033,122,645EUR
total2,064,428,974
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