FlexShares® ETFs - Net Asset Value(s)
July 05 2024 - 2:00AM
UK Regulatory
FlexShares® ETFs - Net Asset Value(s)
PR Newswire
LONDON, United Kingdom, July 05
FlexShares® Listed Private Equity UCITS
ETF
(LEI: 635400YN8RAODRHWIX25)
Final Net Asset
Value
FUND
NAME |
NAV |
ISIN |
NAV
DATE |
FLXSHR LSTD PRIV EQTY
ETF |
28.2212
USD |
IE0010ZGI5C1 |
04 July
2024 |
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