Invesco Markets III Plc - Net Asset Value(s)
PR Newswire
London, March 6
Funds Date Ticker ISIN code Shares in Currency Net Asset NAV/per
Symbol Issue Value share
Base
Invesco 06.03.2020 PSRE IE00B23D8X81 700,001 EUR 5,815,418 8.30773
FTSE RAFI
Europe
UCITS ETF
Invesco 06.03.2020 PSRF IE00B23D8S39 14,800,001 USD 274,132,929 18.52249
FTSE RAFI
US 1000
UCITS ETF
Invesco 06.03.2020 PSRU IE00B23LNN70 859,201 GBP 8,023,521 9.33835
FTSE RAFI
UK 100
UCITS ETF
Invesco 06.03.2020 PSDU IE00B23LNQ02 3,389,552 USD 61,583,473 18.16862
FTSE RAFI
All-World
3000 UCITS
ETF
Invesco 06.03.2020 BUYB IE00BLSNMW37 1,267,001 USD 41,034,021 32.38673
Global
Buyback
Achievers
UCITS ETF
Invesco 06.03.2020 EUHD IE00BZ4BMM98 750,001 EUR 17,506,137 23.34149
EURO STOXX
High
Dividend
Low
Volatility
UCITS ETF
Invesco 06.03.2020 HDLVEMN IE00BYYXBF44 2,037,311 USD 55,094,880 27.04294
FTSE
Emerging
Markets
High
Dividend
Low
Volatility
UCITS ETF
Invesco S& 06.03.2020 PQVM IE00BDZCKK11 200,001 USD 6,249,436 31.24703
P 500 QVM
UCITS ETF
END

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