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Net Asset Value(s)

20 Mar 2019 10:59

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, March 20

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274919-03-201955.22323,670,000202,669,144EUR
NL000927275619-03-201977.5062425,00032,940,135EUR
NL000927276419-03-201956.4013163,0009,193,412EUR
NL000927277219-03-201960.6012318,00019,271,182EUR
NL000927278019-03-201963.1321190,00011,995,099EUR
NL000969022119-03-201941.276321,981,190907,302,193EUR
NL000969023919-03-201939.24195,185,404203,485,105EUR
NL000969024719-03-201918.16442,198,39039,932,435EUR
NL000969025419-03-201913.97062,406,53733,620,766EUR
NL001027380119-03-201921.97556,161,000135,391,056EUR
NL001040870419-03-201983.19661,725,000143,514,135EUR
NL001073181619-03-201955.8754785,00043,862,189EUR
NL001137607419-03-201931.5564175,2555,530,417EUR
NL001168359419-03-201928.4544900,00025,608,960EUR
total1,814,316,227

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