Invesco RAFI UK Fd Net Asset Value(s)
August 20 2020 - 1:27AM
UK Regulatory
TIDMPSRU
Funds Date Ticker ISIN code Shares Currency Net Asset NAV/per share
Symbol in Value Base
Issue
Invesco FTSE 19.08.2020 PSRU IE00B23LNN70 859,201 GBP 6,986,898 8.13185
RAFI UK 100
UCITS ETF
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