iShares Core MSCI Japan IMI ETF Announces Net Asset Value
Why we think this is neutral
This is a routine regulatory announcement of the net asset value (NAV) for the iShares Core MSCI Japan IMI UCITS ETF. It does not contain any material financial information or updates about the underlying business performance. The NAV per share and number of shares in issue are provided, but there are no concerning insights or factors that would significantly impact market sentiment.
Key Points
- Routine net asset value (NAV) announcement for iShares Core MSCI Japan IMI UCITS ETF
- NAV per share as of 14-Feb-25 is MXN 1371.176048
- Number of shares in issue is 236,171
Summary
The ETF provider has released the latest net asset value for its Japan-focused index fund, a standard regulatory update with no major implications.
This is a routine net asset value (NAV) announcement for the iShares Core MSCI Japan IMI UCITS ETF. The official NAV per share as of 14-Feb-25 is MXN 1371.176048, and the number of shares in issue is 236,171. This is a standard regulatory update with no material financial information or updates about the underlying business performance.
GENERAL UPDATE