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Net Asset Value(s)

10 Apr 2019 10:45

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, April 10

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274909-04-201956.01263,195,000178,960,257EUR
NL000927275609-04-201979.2845425,00033,695,913EUR
NL000927276409-04-201956.8911163,0009,273,249EUR
NL000927277209-04-201961.2409318,00019,474,606EUR
NL000927278009-04-201963.9192190,00012,144,648EUR
NL000969022109-04-201941.871721,681,190907,828,283EUR
NL000969023909-04-201939.92615,185,404207,032,959EUR
NL000969024709-04-201918.31152,248,39041,171,393EUR
NL000969025409-04-201914.05112,406,53733,814,492EUR
NL001027380109-04-201922.01266,161,000135,619,629EUR
NL001040870409-04-201984.29211,725,000145,403,873EUR
NL001073181609-04-201956.0511785,00044,000,114EUR
NL001137607409-04-201932.0294175,2555,613,312EUR
NL001168359409-04-201928.9343900,00026,040,870EUR
total1,800,073,598

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