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Net Asset Value(s)

7 Jun 2019 09:52

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, June 7

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274906-06-201955.27272,945,000162,778,102EUR
NL000927275606-06-201975.2862300,00022,585,860EUR
NL000927276406-06-201957.086173,0009,875,878EUR
NL000927277206-06-201961.2147318,00019,466,275EUR
NL000927278006-06-201963.4383200,00012,687,660EUR
NL000969022106-06-201941.029321,081,190864,946,469EUR
NL000969023906-06-201940.63095,385,404218,813,811EUR
NL000969024706-06-201918.48652,158,39039,901,077EUR
NL000969025406-06-201914.26872,406,53734,338,154EUR
NL001027380106-06-201922.06726,361,000140,369,459EUR
NL001040870406-06-201982.66181,695,000140,111,751EUR
NL001073181606-06-201954.514785,00042,793,490EUR
NL001137607406-06-201931.6957175,2555,554,830EUR
NL001168359406-06-201927.636900,00024,872,400EUR
total1,739,095,216

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