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Net Asset Value(s)

3 Apr 2019 10:21

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, April 3

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274902-04-201955.64483,320,000184,740,736EUR
NL000927275602-04-201977.5959425,00032,978,258EUR
NL000927276402-04-201956.9597163,0009,284,431EUR
NL000927277202-04-201961.3503318,00019,509,395EUR
NL000927278002-04-201964.0161190,00012,163,059EUR
NL000969022102-04-201941.831721,981,190919,510,546EUR
NL000969023902-04-201940.64265,185,404210,748,301EUR
NL000969024702-04-201918.33472,248,39041,223,556EUR
NL000969025402-04-201914.04992,406,53733,811,604EUR
NL001027380102-04-201922.03376,161,000135,749,626EUR
NL001040870402-04-201984.22251,725,000145,283,813EUR
NL001073181602-04-201955.7691785,00043,778,744EUR
NL001137607402-04-201932.2248175,2555,647,557EUR
NL001168359402-04-201928.8454900,00025,960,860EUR
total1,820,390,485

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