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

(BBIL)
Sector:
$115.21
$0.04 0.03
Last updated: 17:07:19

Company News Headlines

Date Time Headline Source
16/05/2025 07:00 Net Asset Value(s) RNS
15/05/2025 07:00 Net Asset Value(s) RNS
14/05/2025 07:00 Net Asset Value(s) RNS
13/05/2025 07:00 Net Asset Value(s) RNS
12/05/2025 07:00 Net Asset Value(s) RNS
09/05/2025 15:00 Changes to Sub-Funds RNS
09/05/2025 07:00 Net Asset Value(s) RNS
08/05/2025 07:00 Net Asset Value(s) RNS
07/05/2025 07:00 Net Asset Value(s) RNS
06/05/2025 07:00 Net Asset Value(s) RNS
02/05/2025 07:00 Net Asset Value(s) RNS
01/05/2025 14:00 Dividend Declaration RNS
01/05/2025 07:00 Net Asset Value(s) RNS
30/04/2025 14:00 Annual Financial Report RNS
30/04/2025 07:00 Net Asset Value(s) RNS
29/04/2025 07:00 Net Asset Value(s) RNS
28/04/2025 07:00 Net Asset Value(s) RNS
25/04/2025 07:00 Net Asset Value(s) RNS
24/04/2025 07:00 Net Asset Value(s) RNS
23/04/2025 07:00 Net Asset Value(s) RNS
22/04/2025 07:00 Net Asset Value(s) RNS
17/04/2025 07:00 Net Asset Value(s) RNS
16/04/2025 07:00 Net Asset Value(s) RNS
15/04/2025 07:00 Net Asset Value(s) RNS
14/04/2025 07:00 Net Asset Value(s) RNS
11/04/2025 07:00 Net Asset Value(s) RNS
10/04/2025 07:00 Net Asset Value(s) RNS
09/04/2025 07:00 Net Asset Value(s) RNS
08/04/2025 07:00 Net Asset Value(s) RNS
07/04/2025 07:00 Net Asset Value(s) RNS
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