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Net Asset Value(s)

28 Aug 2019 08:28

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, August 28

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274927-08-201955.10422,970,000163,659,474EUR
NL000927275627-08-201979.1631300,00023,748,930EUR
NL000927276427-08-201958.6202183,00010,727,497EUR
NL000927277227-08-201962.406308,00019,221,048EUR
NL000927278027-08-201964.3712200,00012,874,240EUR
NL000969022127-08-201941.083621,546,190885,195,051EUR
NL000969023927-08-201941.4385,385,404223,160,371EUR
NL000969024727-08-201919.08982,108,39040,248,743EUR
NL000969025427-08-201914.79642,366,53735,016,228EUR
NL001027380127-08-201922.10586,431,000142,162,400EUR
NL001040870427-08-201982.60113,490,000288,277,839EUR
NL001073181627-08-201953.1368785,00041,712,388EUR
NL001137607427-08-201932.5623175,2555,706,706EUR
NL001168359427-08-201926.43411,050,00027,755,805EUR
Total1,919,466,720

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