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Net Asset Value(s)

26 Apr 2019 09:14

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, April 26

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274925-04-201957.06943,120,000178,056,528EUR
NL000927275625-04-201981.549300,00024,464,700EUR
NL000927276425-04-201957.2324163,0009,328,881EUR
NL000927277225-04-201961.8034318,00019,653,481EUR
NL000927278025-04-201964.6888190,00012,290,872EUR
NL000969022125-04-201942.663621,681,190924,997,618EUR
NL000969023925-04-201940.08155,385,404215,855,070EUR
NL000969024725-04-201918.42632,348,39043,272,139EUR
NL000969025425-04-201914.03682,406,53733,780,079EUR
NL001027380125-04-201922.0146,411,000141,131,754EUR
NL001040870425-04-201986.0131,695,000145,792,035EUR
NL001073181625-04-201956.8079785,00044,594,202EUR
NL001137607425-04-201932.8177175,2555,751,466EUR
NL001168359425-04-201929.0473900,00026,142,570EUR
totaal1,825,111,394

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