JpMorgan ETFs (Ireland) Icav JPM US Treasury Bond 0-1Yr Ucits ETF

(BBIL)
Sector:
$114.65
$-0.01 -0.00
Last updated: 16:36:12

Company News Headlines

Date Time Headline Source
04/04/2025 07:00 Net Asset Value(s) RNS
03/04/2025 17:00 Changes to Sub-Funds RNS
03/04/2025 17:00 Changes to Sub-Funds RNS
03/04/2025 17:00 Changes to Sub-Funds RNS
03/04/2025 17:00 Changes to Sub-Funds RNS
03/04/2025 17:00 Changes to Sub-Funds RNS
03/04/2025 17:00 Changes to Sub-Funds RNS
03/04/2025 17:00 Changes to Sub-Funds RNS
03/04/2025 15:00 Dividend Declaration RNS
02/04/2025 07:00 Net Asset Value(s) RNS
01/04/2025 07:00 Net Asset Value(s) RNS
31/03/2025 07:00 Net Asset Value(s) RNS
28/03/2025 07:00 Net Asset Value(s) RNS
27/03/2025 07:00 Net Asset Value(s) RNS
26/03/2025 07:00 Net Asset Value(s) RNS
25/03/2025 07:00 Net Asset Value(s) RNS
24/03/2025 07:00 Net Asset Value(s) RNS
21/03/2025 07:00 Net Asset Value(s) RNS
20/03/2025 07:00 Net Asset Value(s) RNS
19/03/2025 07:00 Net Asset Value(s) RNS
18/03/2025 07:00 Net Asset Value(s) RNS
14/03/2025 07:00 Net Asset Value(s) RNS
13/03/2025 07:00 Net Asset Value(s) RNS
12/03/2025 07:00 Net Asset Value(s) RNS
11/03/2025 07:00 Net Asset Value(s) RNS
10/03/2025 07:00 Net Asset Value(s) RNS
06/03/2025 12:00 Dividend Declaration RNS
06/03/2025 07:00 Net Asset Value(s) RNS
05/03/2025 07:00 Net Asset Value(s) RNS
04/03/2025 07:00 Net Asset Value(s) RNS
03/03/2025 07:00 Net Asset Value(s) RNS
28/02/2025 07:00 Net Asset Value(s) RNS
27/02/2025 07:00 Net Asset Value(s) RNS
26/02/2025 07:00 Net Asset Value(s) RNS
25/02/2025 07:00 Net Asset Value(s) RNS
24/02/2025 07:00 Net Asset Value(s) RNS
21/02/2025 07:00 Net Asset Value(s) RNS
20/02/2025 07:00 Net Asset Value(s) RNS
19/02/2025 07:00 Net Asset Value(s) RNS
18/02/2025 07:00 Net Asset Value(s) RNS
17/02/2025 07:00 Net Asset Value(s) RNS
14/02/2025 07:00 Net Asset Value(s) RNS
13/02/2025 07:00 Net Asset Value(s) RNS
12/02/2025 07:00 Net Asset Value(s) RNS
11/02/2025 07:00 Net Asset Value(s) RNS
10/02/2025 07:00 Net Asset Value(s) RNS
06/02/2025 12:00 Dividend Declaration RNS
06/02/2025 07:00 Net Asset Value(s) RNS
05/02/2025 07:00 Net Asset Value(s) RNS
04/02/2025 07:00 Net Asset Value(s) RNS