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Net Asset Value(s)

27th Nov 2025 07:00

Robeco UCITS ICAV - Net Asset Value(s)

Robeco UCITS ICAV - Net Asset Value(s)

PR Newswire

LONDON, United Kingdom, November 27

Account Name Valuation Date Bloomberg Code ISIN Code Units Outstanding Shareholder Equity Base (ShareClass) NAV per Share Local
Robeco 3D Global Equity UCITS ETF 26/11/2025 3DGE IE000WJ7OF21 44004.00 269532.74 6.1252
Robeco 3D Global Equity UCITS ETF 26/11/2025 3DGL IE000Q8N7WY1 106349650.00 656857141.43 6.1764
Robeco 3D European Equity UCITS ETF 26/11/2025 3DEU IE0007WLHX89 3600000.00 20601789.29 5.7227
Robeco 3D US Equity UCITS ETF 26/11/2025 3DUE IE0008H4JHA2 43883.00 268828.74 6.126
Robeco 3D US Equity UCITS ETF 26/11/2025 3DUS IE000XERHYF0 20554456.00 124823454.16 6.0728
Robeco 3D US Equity UCITS ETF 26/11/2025 3DUH IE000DEXCOR7 212785.00 1142771.67 5.3705
Robeco 3D EM Equity UCITS ETF 26/11/2025 3DEM IE0002Z12PN9 36410000.00 248126033.41 6.8148
Robeco Dynamic Theme Machine UCITS ETF 26/11/2025 RDTM IE000VG2WCW5 5120000.00 30288246.00 5.9157
Robeco Climate Euro Government Bond UCITS ETF 26/11/2025 RCEG IE000D1DAPO5 52400000.00 268591036.99 5.1258



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