China Post Global Net Asset Value(s)
March 25 2024 - 1:00PM
RNS Regulatory News
RNS Number : 2184I
China Post Global
25 March 2024
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FUND:
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MARKET ACCESS STOXX CHINA A MINIMUM
VARIANCE INDEX UCITS ETF
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DEALING DATE:
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25/03/2024
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NAV PER SHARE:
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EUR 118.3774
GBP 101.4634
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NUMBER OF SHARES IN ISSUE:
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209,811
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CODE:
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M9SV
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ISIN:
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LU1750178011
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FUND:
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MARKET ACCESS ROGERS INTERNATIONAL
COMMODITY INDEX UCITS ETF
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DEALING DATE:
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22/03/2024
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NAV PER SHARE:
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EUR 27.8319
GBP 23.8552
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NUMBER OF SHARES IN ISSUE:
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2,181,222
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CODE:
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RICI
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ISIN:
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LU0249326488
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FUND:
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MARKET ACCESS NYSE ARCA GOLD BUGS
INDEX UCITS ETF
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DEALING DATE:
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22/03/2024
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NAV PER SHARE:
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EUR 88.0715
GBP 75.4877
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NUMBER OF SHARES IN ISSUE:
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620,729
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CODE:
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GOLB
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ISIN:
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LU0259322260
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