London Stock ExchangeLondon Stock Exchange

REG - HSBC ETFs PLC - Net Asset Value(s)

Refinitiv12分程度で読めます
RNS Number : 1963Y HSBC ETFs PLC 05 September 2025  

[05.09.25]

HSBC ETFs plc

Net Asset Value

Fund: HSBC EURO STOXX 50 UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B4K6B022

21,472,557

EUR

0

€1,201,680,965.00

€55.9636

Fund: HSBC EURO STOXX 50 UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000MWUQBJ0

3,878,546

EUR

0

€255,866,790.20

€65.9698

Fund: HSBC FTSE 100 UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B42TW061

6,475,000

GBP

0

£590,766,607.70

£91.2381

Fund: HSBC ASIA PAC EX JPN SCRND EQ UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BKY58G26

17,589,396

USD

0

$364,389,760.30

$20.7164

Fund: HSBC ASIA PAC EX JPN SCRND EQ UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000P1WR081

3,120,278

USD

0

$60,498,381.15

$19.3888

Fund: HSBC DEV WORLD SCREENED EQUITY UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BKY59K37

10,335,472

USD

0

$288,078,408.30

$27.8728

Fund: HSBC DEV WORLD SCREENED EQUITY UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000ZGT8JM8

2,080,070

USD

0

$54,867,888.06

$26.3779

Fund: HSBC EMER MKT SCREENED EQUITY UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BKY59G90

10,451,534

USD

0

$190,017,846.70

$18.1809

Fund: HSBC EMER MKT SCREENED EQUITY UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000XYBMEH0

2,626,083

USD

0

$44,508,108.02

$16.9485

Fund: HSBC EUROPE SCREENED EQUITY UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BKY55W78

1,703,706

EUR

0

€29,760,437.89

€17.4681

Fund: HSBC EUROPE SCREENED EQUITY UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000WARATZ3

33,461

EUR

0

€534,727.10

€15.9806

Fund: HSBC EUROPE EX UK SCREENED EQ UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BKY58625

5,016,500

EUR

0

€81,300,061.74

€16.2065

Fund: HSBC MSCI EM MKTS VAL SCREENED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000NVVIF88

3,368,750

USD

0

$56,259,765.53

$16.7005

Fund: HSBC JAPAN SCREENED EQ UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BKY55S33

11,557,281

USD

0

$240,293,711.40

$20.7915

Fund: HSBC JAPAN SCREENED EQ UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000J3F4J90

681,789

USD

0

$13,445,161.80

$19.7204

Fund: HSBC FTSE 250 UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B64PTF05

2,400,000

GBP

0

£47,972,828.32

£19.9887

Fund: HSBC FTSE EPRANAREIT DEVELOPED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B5L01S80

71,296,031

USD

0

$1,583,531,852.00

$22.2107

Fund: HSBC FTSE EPRANAREIT DEVELOPED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000G6GSP88

2,130,846

USD

0

$57,797,324.44

$27.1241

Fund: HSBC UK SCREENED EQUITY UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BKY53D40

1,067,899

GBP

0

£22,663,209.79

£21.2222

Fund: HSBC UK SCREENED EQUITY UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00046S3PW1

673,900

GBP

0

£12,881,753.68

£19.1152

Fund: HSBC USA SCREENED EQ UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BKY40J65

22,331,191

USD

0

$757,673,581.30

$33.9289

Fund: HSBC USA SCREENED EQ UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000YFGN231

3,903,558

USD

0

$127,057,083.60

$32.5490

Fund: HSBC HANG SENG TECH UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BMWXKN31

203,350,000

HKD

0

HK$12,357,911,366.00

HK$60.7716

Fund: HSBC MSCI AC FAR EAST EX JAPAN UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BBQ2W338

4,393,465

USD

0

$273,805,142.10

$62.3210

Fund: HSBC MSCI AC FAR EAST EX JAPAN UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00022VXYM7

368,713

USD

0

$21,598,242.96

$58.5774

Fund: HSBC MSCI ASIA PACIFIC EX JAPAN CPA ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000XFORJ80

710,000

USD

0

$13,659,521.79

$19.2388

Fund: MSCI EUR CLIMATE PARIS ALIGNED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BP2C0316

1,336,000

EUR

0

€32,744,513.44

€24.5094

Fund: HSBC MSCI EMERGING MARKETS CPA ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000FNVOB27

1,800,000

USD

0

$29,319,091.92

$16.2884

Fund: HSBC MSCI EM MKTS SM CAP SCRND UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000W080FK3

1,677,000

USD

0

$40,595,062.39

$24.2070

Fund: HSBC MSCI EUROPE ISLAMIC SCRND UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000AGFZM58

2,148,000

EUR

0

€55,532,695.10

€25.8532

Fund: HSBC MSCI JAPAN CPA UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000UU299V4

714,500

USD

0

$11,642,946.05

$16.2952

Fund: HSBC MSCI CHINA A UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BF4NQ904

5,431,236

USD

0

$60,882,256.41

$11.2097

Fund: HSBC MSCI CHINA A UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000Z4OYPZ6

3,677,176

USD

0

$42,020,666.71

$11.4274

Fund: HSBC MSCI CHINA A UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE0007HPIXG8

25,003

USD

0

$287,155.67

$11.4848

Fund: HSBC MSCI CANADA UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B51B7Z02

1,050,000

USD

0

$30,945,580.95

$29.4720

Fund: HSBC MSCI CHINA UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B44T3H88

132,355,572

USD

0

$1,087,588,866.00

$8.2172

Fund: HSBC MSCI CHINA UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE0007P4PBU1

15,952,881

USD

0

$145,191,196.40

$9.1013

Fund: HSBC MSCI EMERGING MARKETS UCITS  ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B5SSQT16

193,664,350

USD

0

$2,436,164,111.00

$12.5793

Fund: HSBC MSCI EMERGING MARKETS UCITS  ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000KCS7J59

40,683,529

USD

0

$552,586,128.10

$13.5826

Fund: HSBC MSCI EUROPE UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B5BD5K76

15,661,790

EUR

0

€292,938,076.50

€18.7040

Fund: HSBC MSCI EUROPE UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000ZQOIPB1

2,557,264

EUR

0

€53,660,106.05

€20.9834

Fund: HSBC MSCI INDONESIA UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B46G8275

2,657,500

USD

0

$164,180,700.40

$61.7801

Fund: HSBC MSCI JAPAN UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B5VX7566

3,985,128

USD

0

$181,670,278.60

$45.5871

Fund: HSBC MSCI JAPAN UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE0006RFB3X2

250,207

USD

0

$12,491,996.11

$49.9266

Fund: HSBC MSCI KOREA CAPPED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B3Z0X395

5,380,000

USD

0

$315,240,723.30

$58.5949

Fund: HSBC MSCI PACIFIC EX JAPAN UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B5SG8Z57

47,663,074

USD

0

$748,612,960.20

$15.7064

Fund: HSBC MSCI PACIFIC EX JAPAN UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000SGVQIZ9

21,353,013

USD

0

$401,436,718.10

$18.8000

Fund: HSBC MSCI TAIWAN CAPPED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B3S1J086

725,000

USD

0

$64,678,742.27

$89.2121

Fund: HSBC MSCI USA QUALITY UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B5WFQ436

6,005,000

USD

0

$368,826,260.50

$61.4199

Fund: HSBC MSCI WORLD UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B4X9L533

313,447,592

USD

0

$13,173,242,006.00

$42.0269

Fund: HSBC MSCI WORLD UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000UQND7H4

30,416,632

USD

0

$1,227,299,562.00

$40.3496

Fund: MSCI USA CLIMATE PARIS ALIGNED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BP2C1S34

812,607

USD

0

$37,016,631.16

$45.5529

Fund: MSCI USA CLIMATE PARIS ALIGNED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000O0KDG23

5,112

USD

0

$226,023.98

$44.2144

Fund: HSBC MSCI USA ISLAMIC SCREENED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000I5NV504

1,080,000

USD

0

$35,546,104.04

$32.9131

Fund: MSCI WORLD CLIM PARIS ALIGNED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BP2C1V62

18,332,000

USD

0

$610,231,817.00

$33.2878

Fund: HSBC MSCI WORLD ISLAMIC SCRND UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000X9FTI22

2,563,000

USD

0

$69,368,566.94

$27.0654

Fund: HSBC MSCI WRLD SMALL CAP SCRND UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000C692SN6

6,291,000

USD

0

$144,228,249.10

$22.9261

Fund: HSBC MSCI WORLD VALUE SCREENED UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000LYBU7X5

11,063,700

USD

0

$263,846,976.70

$23.8480

Fund: HSBC NASDAQ GLOB SEMICONDUCTOR UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000YDZG487

4,611,250

USD

0

$79,866,620.03

$17.3200

Fund: HSBC S&P 500 UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00B5KQNG97

121,001,120

USD

0

$7,940,030,139.00

$65.6195

Fund: HSBC S&P 500 UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000JZ473P7

7,478,482

USD

0

$467,818,958.70

$62.5553

Fund: HSBC MULTI FACTOR WW EQUITY UCITS  ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00BKZGB098

24,045,558

USD

0

$834,747,280.40

$34.7152

Fund: HSBC MULTI FACTOR WW EQUITY UCITS  ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE0000378O66

64,120

USD

0

$2,404,243.89

$37.4960

Fund: HSBC BBG GLB ESG AGGR 1-3YR BD UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000XGNMWE1

6,685,000

USD

0

$74,028,809.69

$11.0739

Fund: HSBC MSCI EM ISLAMIC SCRNED CAP UCIT ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE0009BC6K22

4,347,750

USD

0

$67,513,170.44

$15.5283

Fund: HSBC FTSE EPRA NAREIT DEVELOPED ISLAMIC UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000U679IT9

937,500

USD

0

$13,063,904.60

$13.9348

Fund: HSBC MSCI JAPAN ISLAMIC ESG UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE0001XCFC82

949,000

USD

0

$19,724,888.87

$20.7849

Fund: HSBC NASDAQ GCT UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000XC6EVL9

7,956,000

USD

0

$99,217,196.99

$12.4707

Fund: HSBC S&P INDIA TECH UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE0008119MO8

775,000

EUR

0

€14,135,564.64

€18.2394

Fund: HSBC FTSE EPRA NAREIT DCPA UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000SPKU8M9

1,523,201

USD

0

$17,243,266.53

$11.3204

Fund: HSBC FTSE EPRA NAREIT DCPA UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE00096S6AV7

2,595,544

USD

0

$30,707,630.05

$11.8309

Fund: HSBC PLUS USA EQUITY QUANT ACTIVE UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE0008JXFQK8

7,350,000

USD

0

$81,179,477.51

$11.0448

Fund: HSBC PLUS WORLD EQUITY QUANT ACTIVE UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000ZURGSV2

55,290,000

USD

0

$603,359,263.70

$10.9126

Fund: HSBC PLUS WORLD EQUITY INCOME QUANT ACTIVE UCITS

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000KL4O2Z8

12,350,000

USD

0

$133,854,097.20

$10.8384

Fund: HSBC PLUS EMERGING MARKETS EQUITY QUANT ACTIVE UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000UERNJ93

6,600,000

USD

0

$65,339,887.42

$9.9000

Fund: HSBC PLUS EMERGING MARKETS EQUITY INCOME QUANT ACTIVE UCITS ETF

Valuation Date

ISIN Code

Shares in Issue

Currency

Share Redeemed since Previous Valuation

NET Asset Value

NAV per Share

Ex Dividend Date

04/09/2025

IE000893FCN6

5,400,000

USD

0

$53,577,426.35

$9.9217

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.  END  NAVUVSNRVKUKRRR

ログイン、もしくは永年無料のアカウントを作成して、このニュースを読みましょう