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NEUTRAL

iShares FTSE MIB ETF Provides Net Asset Value Update

Why we think this is neutral

This is a routine regulatory announcement providing the Net Asset Value and shares in issue for the iShares FTSE MIB UCITS ETF. There is no indication of any material financial impact or concerning operational details. The update is in line with standard reporting requirements.

Key Points

  • Net Asset Value of EUR 208,090,789.48
  • 1,150,078 shares in issue

Summary

The ETF provider has released the latest Net Asset Value for the iShares FTSE MIB fund, a standard regulatory update.

iShares FTSE MIB UCITS ETF has released its latest Net Asset Value and shares in issue as of 03/03/2025. The fund had a Net Asset Value of EUR 208,090,789.48 and 1,150,078 shares in issue. This is a routine regulatory announcement and does not contain any additional financial or operational details.

GENERAL UPDATE