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Net Asset Value(s)

3 Jun 2019 09:14

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, June 3

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274931-05-201954.89462,945,000161,664,597EUR
NL000927275631-05-201974.3058300,00022,291,740EUR
NL000927276431-05-201956.7297173,0009,814,238EUR
NL000927277231-05-201960.7385318,00019,314,843EUR
NL000927278031-05-201962.852200,00012,570,400EUR
NL000969022131-05-201940.50121,081,190853,809,276EUR
NL000969023931-05-201940.36535,385,404217,383,448EUR
NL000969024731-05-201918.41562,108,39038,827,267EUR
NL000969025431-05-201914.19642,406,53734,164,162EUR
NL001027380131-05-201922.06816,361,000140,375,184EUR
NL001040870431-05-201981.68811,695,000138,461,330EUR
NL001073181631-05-201953.7535785,00042,196,498EUR
NL001137607431-05-201931.081175,2555,447,101EUR
NL001168359431-05-201927.2484900,00024,523,560EUR
Total1,720,843,643

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