RNS Number : 7473A
HANetf II ICAV
14 March 2025
 

 

 

Funds

 

ISIN

Date

Currency

Shares In Issue

Net Asset Value

NAV Per Share

Performance Trust Total Return Bond UCITS ETF

IE000X5OD4M3

13 March 2025

USD

520,000

$ 4,106,408.01

 

 

 

7.897

 

 

                  

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