Net Asset Value(s)

Valuation Date Name ISIN Currency Units NAV per Unit
2026/05/14 NT LSTD PRV EQ UCITS IE0008ZGI5C1 USD 10996622.0000 29.9787
2026/05/14 WHD DJ ISL WD ETF USD ACC IE00073MUWT4 USD 4467426.0000 11.5869
2026/05/14 WHD SP 500 SHR ETF USD AC IE000QF8TEK7 USD 8765000.0000 10.9907
2026/05/14 USD ACC UCITS ETF IE000DHZXD61 USD 70000.0000 10.4062
2026/05/14 USD DIST UCITS ETF IE000ZDPZL69 USD 70000.0000 10.4063



UK 100

Latest directors dealings