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Net Asset Value

26 Jan 2022 14:59

FinEx Funds ICAV - Net Asset Value

FinEx Funds ICAV - Net Asset Value

PR Newswire

London, January 26

COMPANY ANNOUNCEMENT

Immediate Release26 January 2022

FinEx Fund ICAV (the "ICAV")

FinEx Tradable Russian Corporate Bonds UCITS ETF (the "Fund")

Re: Net Asset Value

FundDateTicker SymbolISIN codeShares in IssueCurrencyNet Asset ValueNAV per Share
FinEx Tradable Russian Corporate Bonds UCITS ETF USD Share Class25.01.2022FXRUIE00BD5FH2136,966,320USD83,985,723.5412.056

Enquiries to:

Maples and Calder (Ireland) LLPCiaran Cotter +353 1 619 2033

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