Fidelity UCITS II ICAV – Net Asset Value(s)

Fidelity UCITS II ICAV – Net Asset Value(s)

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Fund: FIL SUST GLB CORP BND MUL ETF
EAG
Date: 31/3/2026
Curr: GBP
NAV: 5.10
Shrs: 109,715,313.00
Tckr: FSMP

Fund: FIL SUST GLB CORP BND MUL ETF
EIU
Date: 31/3/2026
Curr: USD
NAV: 4.16
Shrs: 13,212,218.00
Tckr: FSMF

Fund: FIL SUST USD EM BND ETF
EAG
Date: 31/3/2026
Curr: GBP
NAV: 5.05
Shrs: 59,071,222.00
Tckr: FEMP

Fund: FIL SUST USD EM BND ETF
EIU
Date: 31/3/2026
Curr: USD
NAV: 4.00
Shrs: 2,119,627.00
Tckr: FSEM

Fund: FIL GLB CB RES ENH PAB ETF
EAH
Date: 31/3/2026
Curr: EUR
NAV: 5.83
Shrs: 15,096,597.00
Tckr: FSCE

Fund: FIL GLB CB RES ENH PAB ETF
UIH
Date: 31/3/2026
Curr: USD
NAV: 5.34
Shrs: 1,107,472.00
Tckr: FSMU

Fund: FIL ESG USD EM BOND ETF
EHI
Date: 31/3/2026
Curr: EUR
NAV: 4.79
Shrs: 5,957,136.00
Tckr: FESE GY

Fund: FIL GLB CB RES ENH PAB ETF
EIH
Date: 31/3/2026
Curr: EUR
NAV: 4.85
Shrs: 9,882,489.00
Tckr:

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