GF International FTSE China A UCITS Net Asset Value(s) (2037H)
July 30 2019 - 5:06AM
UK Regulatory
TIDMPRCE
RNS Number : 2037H
GF International FTSE China A UCITS
30 July 2019
GF INTERNATIONAL
Date: 30 July-19
Shares
Dealing in Base
Fund Date ISIN Code Issue Currency Net Assets NAV/Share
GF INTER.FTSE CHINA A UCITS ETF GF 1A 30 July-19 LU1508476568 50.000 USD 754.710 15.0942
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