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Net Asset Value(s)
[July 30, 2014]

Net Asset Value(s)


(Tensid UK Regulatory Via Acquire Media NewsEdge) Net Asset Value(s)FUND: AMUNDI ETF MSCI EUROPE TELECOM SERVICES DEALING DATE: 29/07/2014 NAV PER SHARE: EUR: 106.1236 NUMBER OF SHARES IN ISSUE: 398001 CODE: CT5 ### END ### ProviderChannelContactTensid Ltd., Switzerlandwww.tensid.chnewsbox.chwww.newsbox.chProvider/Channel related [email protected]+41 41 763 00 50 (c) 2012 Tensid Ltd., Switzerland.



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