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Net Asset Value(s)

29 Mar 2019 08:36

Think ETF's - Net Asset Value(s)

Think ETF's - Net Asset Value(s)

PR Newswire

London, March 29

IdentifierDateNAVShares OutstandingTotal AssetsCurrency
NL000927274928-03-201954.42543,320,000180,692,328EUR
NL000927275628-03-201974.5731425,00031,693,568EUR
NL000927276428-03-201956.6793163,0009,238,726EUR
NL000927277228-03-201960.8576318,00019,352,717EUR
NL000927278028-03-201963.2451190,00012,016,569EUR
NL000969022128-03-201940.924721,981,190899,573,606EUR
NL000969023928-03-201940.52255,185,404210,125,534EUR
NL000969024728-03-201918.29322,248,39041,130,248EUR
NL000969025428-03-201914.07322,406,53733,867,677EUR
NL001027380128-03-201922.0316,161,000135,732,991EUR
NL001040870428-03-201982.23861,725,000141,861,585EUR
NL001073181628-03-201954.3977785,00042,702,195EUR
NL001137607428-03-201931.5613175,2555,531,276EUR
NL001168359428-03-201928.1853900,00025,366,770EUR
Total1,788,885,788

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