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Net Asset Value(s)

3rd Aug 2026 07:42

Allianz Global Investors ETF ICAV - Net Asset Value(s)

Allianz Global Investors ETF ICAV - Net Asset Value(s)

PR Newswire

LONDON, United Kingdom, August 03

Valuation Date Name ISIN Currency Units NAV per Unit
31/07/2026 AGI Global Equity Active IE000NZURBQ4 USD 2700000 9.7899
31/07/2026 AGI Global Equity Active IE000NZURBQ4 GBP 2700000 7.274678892
31/07/2026 AGI Smart Europe Equity Active IE000519M2U5 GBP 2500000 8.639526235
31/07/2026 AGI Smart US Equity Active IE000LST78X7 USD 2700000 9.9795
31/07/2026 AGI Smart US Equity Active IE000LST78X7 GBP 2700000 7.41556686



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Allianz S Eu EqAllianz S Gl EqAllianz S Us Eq
FTSE 100 Latest
Value10,684.88
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