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Net Asset Value(s)

9 Jul 2019 09:18

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, July 9

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274908-07-201956.93283,020,000171,937,056EUR
NL000927275608-07-201979.3407300,00023,802,210EUR
NL000927276408-07-201958.2248173,00010,072,890EUR
NL000927277208-07-201962.5975318,00019,906,005EUR
NL000927278008-07-201965.1594200,00013,031,880EUR
NL000969022108-07-201942.420321,306,190903,814,972EUR
NL000969023908-07-201941.3125,285,404218,350,610EUR
NL000969024708-07-201918.77711,958,39036,772,885EUR
NL000969025408-07-201914.45772,216,53732,046,027EUR
NL001027380108-07-201922.01576,321,000139,161,240EUR
NL001040870408-07-201985.56733,390,000290,073,147EUR
NL001073181608-07-201955.8025785,00043,804,963EUR
NL001137607408-07-201933.0742175,2555,796,419EUR
NL001168359408-07-201928.17861,000,00028,178,600EUR
total1,936,748,903

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