VanEck ETFs N.V. Net Asset Value(s)
September 30 2022 - 1:00AM
UK Regulatory
TIDM0ED7 TIDMTEET TIDMTEGB TIDMTRET TIDMTREG TIDMTCBT TIDMTCGB TIDMVAAA TIDMTAGB TIDMTGBT TIDMTGBG TIDMTDIV TIDMTDGB TIDMTNAE TIDMTNGB TIDMTSWE TIDMTSGB
Fund Name NAV Date Ticker Symbol ISIN Shares in Issue Net Asset Value NAV per Share
VANECK AEX 2022-09-29 NL0009272749 3340000.000 211913907.18 63.4473
UCITS ETF
VANECK AMX 2022-09-29 NL0009272756 261000.000 21734650.53 83.2745
UCITS ETF
VANECK 2022-09-29 NL0009272772 453000.000 27275789.29 60.2115
MULTI-ASSET
BALANCED
VANECK 2022-09-29 NL0009272780 320000.000 21434521.43 66.9829
MULTI-ASSET
GROWTH ALLO
VANECK GLOBAL 2022-09-29 NL0009690239 7060404.000 253983057.54 35.9729
REAL ESTATE
VANECK IBOXX 2022-09-29 NL0009690247 1768390.000 27703468.59 15.6659
EUR CORPORATES
VANECK IBOXX 2022-09-29 NL0009690254 2096537.000 24608637.26 11.7378
EUR SOV DIV
1-10
VANECK IBOXX 2022-09-29 NL0010273801 4921000.000 91530389.70 18.6000
EUR AAA-AA 1-5
VANECK SUS EUR 2022-09-29 NL0010731816 705000.000 37683946.99 53.4524
EQ WEIGHT UCITS
VANECK MORN DM 2022-09-29 NL0011683594 4200000.000 130756074.59 31.1324
DIV LEADERS
VANECK SUS 2022-09-29 NL0010408704 17503010.000 436889659.84 24.9608
WORLD EQUAL
WEIGHT
VANECK 2022-09-29 NL0009272764 388000.000 20903121.94 53.8740
MULTI-ASSET
CONSERVAT
END
(END) Dow Jones Newswires
September 30, 2022 02:00 ET (06:00 GMT)
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