RNS Number : 4345E
HANetf Multi-Asset ETC Issuer Plc
22 October 2025
 

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This announcement is for the interest payment from the exchange traded securities (the "Securities") of the HANetf Multi-Asset ETC Issuer Plc (the "Issuer").

 

 

For Immediate Release                                                                                                              22 October 2025

NOTIFICATION OF INTEREST PAYMENT

 

Announcement Date

22 October 2025

Ex-Dividend Date

23 October 2025

Record Date

24 October 2025

Payment Date

7 November 2025

 

The Issuer wishes to announce the following interest payment, for the Securities below:

 

Sub-Fund/Share Class

 ISIN

Payment Currency

Amount per Security

YieldMax® MSTR Option Income Strategy ETC

XS3087774306

USD

0.8587

 

 

Enquiries to:

  HANetf Limited

 +44 (0) 20 8145 1727

info@hanetf.com

 

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