PR Newswire
London, November 16
Funds Date Ticker ISIN code Shares in Currency Net Asset NAV/per Symbol Issue Value share Base PowerShares 17.11.2017 HDLVUKN IE00BYYXBD20 200,001 GBP 4,855,583 24.27779 FTSE UK High Dividend Low Volatility UCITS ETF
PR Newswire
London, November 16
Funds Date Ticker ISIN code Shares in Currency Net Asset NAV/per Symbol Issue Value share Base PowerShares 17.11.2017 HDLVUKN IE00BYYXBD20 200,001 GBP 4,855,583 24.27779 FTSE UK High Dividend Low Volatility UCITS ETF