IVZ III FTSE RAFI Emerging Markets Net Asset Value(s) (2983T)
21 7월 2022 - 5:48PM
UK Regulatory
TIDMPSRM
RNS Number : 2983T
IVZ III FTSE RAFI Emerging Markets
21 July 2022
NAV/per
Shares in Net Asset share
Funds Date ISIN code Issue Currency Value Base
Invesco FTSE
RAFI
Emerging
Markets
UCITS ETF 20/07/2022 IE00B23D9570 3487501 USD 26425693.57 7.577
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(END) Dow Jones Newswires
July 21, 2022 04:48 ET (08:48 GMT)
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