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Net Asset Value(s)

15 May 2019 09:25

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, May 15

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274914-05-201955.73512,995,000166,926,625EUR
NL000927275614-05-201977.2153300,00023,164,590EUR
NL000927276414-05-201956.7352163,0009,247,838EUR
NL000927277214-05-201960.964318,00019,386,552EUR
NL000927278014-05-201963.3427190,00012,035,113EUR
NL000969022114-05-201941.19221,681,190893,091,578EUR
NL000969023914-05-201940.06615,385,404215,772,135EUR
NL000969024714-05-201918.3792,108,39038,750,100EUR
NL000969025414-05-201914.07712,406,53733,877,062EUR
NL001027380114-05-201922.03256,361,000140,148,733EUR
NL001040870414-05-201982.99431,695,000140,675,339EUR
NL001073181614-05-201954.7992785,00043,017,372EUR
NL001137607414-05-201931.8151175,2555,575,755EUR
NL001168359414-05-201928.0745900,00025,267,050EUR
total1,766,935,841

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