HANetf ETC Securities PLC | | ||
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The Royal Mint Physical Gold ETC Securities | | ||
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23rd May 2022 | | ||
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Fund: | The Royal Mint Physical Gold ETC Securities | ||
Dealing Date: | 20-May-22 | ||
NAV per Share: | 18.2516 USD | ||
MEPS (Metal Entitlement Per Security): | 0.00995074 fine troy ounce | ||
Number of Shares in Issue: | 32,498,668 | ||
Code: | RMAU LN | ||
ISIN: | XS2115336336 | ||
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Final terms relating to the issue of The Royal Mint Physical Gold ETC Securities by the above Issuer have been published today on the website of the Issuer at: | |||
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https://www.hanetf.com/rmau-final-terms | |
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