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Net Asset Value(s)

28 May 2019 07:00

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, May 28

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274924-05-201955.53572,995,000166,329,422EUR
NL000927275624-05-201975.7144300,00022,714,320EUR
NL000927276424-05-201956.8783173,0009,839,946EUR
NL000927277224-05-201961.1305318,00019,439,499EUR
NL000927278024-05-201963.4868200,00012,697,360EUR
NL000969022124-05-201941.162321,381,190880,098,957EUR
NL000969023924-05-201940.87935,385,404220,151,546EUR
NL000969024724-05-201918.36372,108,39038,717,841EUR
NL000969025424-05-201914.15312,406,53734,059,959EUR
NL001027380124-05-201922.03956,361,000140,193,260EUR
NL001040870424-05-201982.95821,695,000140,614,149EUR
NL001073181624-05-201954.7826785,00043,004,341EUR
NL001137607424-05-201931.7168175,2555,558,528EUR
NL001168359424-05-201927.9339900,00025,140,510EUR
Total1,758,559,637

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