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RNS Number : 5960X
Market Access Asset Management Ltd
19 February 2025
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| FUND: | MARKET ACCESS STOXX CHINA A MINIMUM VARIANCE INDEX UCITS ETF | DEALING DATE: | 18/02/2025 | NAV PER SHARE: | EUR 140.1701 GBP 116.2900 | NUMBER OF SHARES IN ISSUE: | 248,811 | CODE: | M9SV | ISIN: | LU1750178011 |
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| FUND: | MARKET ACCESS ROGERS INTERNATIONAL COMMODITY INDEX UCITS ETF | DEALING DATE: | 14/02/2025 | NAV PER SHARE: | EUR 30.4678 GBP 25.2771 | NUMBER OF SHARES IN ISSUE: | 1,968,922 | CODE: | RICI | ISIN: | LU0249326488 | |
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FUND: | MARKET ACCESS NYSE ARCA GOLD BUGS INDEX UCITS ETF | DEALING DATE: | 14/02/2025 | NAV PER SHARE: | EUR 128.2073 GBP 106.3652 | NUMBER OF SHARES IN ISSUE: | 526,649 | CODE: | GOLB | ISIN: | LU0259322260 | |
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