FlexShares® ETFs - Net Asset Value(s)
21 June 2024 - 4:00PM
UK Regulatory
FlexShares® ETFs - Net Asset Value(s)
PR Newswire
LONDON, United Kingdom, June 21
FlexShares®
Listed Private Equity UCITS ETF
(LEI:
635400YN8RAODRHWIX25)
Final
Net Asset Value
FUND
NAME
|
NAV
|
ISIN
|
NAV
DATE
|
FLXSHR
LSTD PRIV EQTY ETF
|
28.2967
USD
|
IE0010ZGI5C1
|
20 June
2024
|
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