FT FACTORFX CL B: Net Asset Value(s)
July 29 2021 - 4:00AM
UK Regulatory
TIDMFXGB
Shares in Net Asset NAV/per
Funds Date TIDM ISIN Code Issue Currency Value Share
First
Trust
FactorFX
UCITS FXGB
ETF 28.07.2021 LN IE00BD5HBR05 25,002.00 GBP 397,562.04 22.053
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CONTACT:
First Trust Global Funds PLC
SOURCE: First Trust Global Funds PLC
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July 29, 2021 05:00 ET (09:00 GMT)
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