iShares FTSE MIB ETF Reports Net Asset Value
Why we think this is neutral
This RNS announcement provides an update on the net asset value of the iShares FTSE MIB ETF. As it does not contain any financial results, trading updates, or other significant business news, the overall sentiment is neutral.
Key Points
- Net asset value of £286,270,194.24 as of 1st August 2025
- NAV per share of £190.837
Summary
The ETF provider has reported the latest net asset value for the iShares FTSE MIB ETF.
iShares FTSE MIB ETF reports net asset value of £286,270,194.24 as of 1st August 2025, with a NAV per share of £190.837.
GENERAL UPDATE