30 Jun 2026 10:03
M&G Ireland ETF ICAV - Daily Fund Prices | ||
Date: 30-Jun-26 | ||
|
| |
| ||
Fund | M&G UK Index-Linked Gilts Active UCITS ETF | |
ISIN Code | IE000KEV0H41 | |
Dealing Date | 29/06/2026 | |
NAV per Share | 10.1295 | |
Base Currency | GBP | |
Fund | M&G UK Gilts Active UCITS ETF | |
ISIN Code | IE000PTM74B6 | |
Dealing Date | 29/06/2026 | |
NAV per Share | 9.9660 | |
Base Currency | GBP | |
Fund | M&G US Treasury Bond Active UCITS ETF | |
ISIN Code | IE0000DO92H7 | |
Dealing Date | 29/06/2026 | |
NAV per Share | 10.0827 | |
Base Currency | USD | |
Fund | M&G US Treasury Bond Active UCITS ETF | |
ISIN Code | IE000YFPL0I4 | |
Dealing Date | 29/06/2026 | |
NAV per Share | 10.1026 | |
Base Currency | GBP | |
Fund | M&G Global Maxima Equity UCITS ETF | |
ISIN Code | IE000AEM1K78 | |
Dealing Date | 29/06/2026 | |
NAV per Share | 11.2378 | |
Base Currency | USD | |
Fund | M&G European AAA CLO UCITS ETF | |
ISIN Code | IE000FMF9DG3 | |
Dealing Date | 29/06/2026 | |
NAV per Share | 10.0419 | |
Base Currency | EUR | |
Fund | M&G European AAA CLO UCITS ETF | |
ISIN Code | IE000F215NJ2 | |
Dealing Date | 29/06/2026 | |
NAV per Share | 10.0420 | |
Base Currency | EUR | |
Follow the stocks