Net Asset Value(s)
Thu, Aug 20, 2026 15:35 CET
[20.08.26]
TABULA ICAV
Janus Valuation ISIN Code Shares in Currency Share NET Asset NAV per ExHenderson Date Issue Redeemed Value Share DividendHaitong since DateAsia ex Previous-Japan ValuationHighYieldCorpUSD BondScreenedCoreUCITSETF 20.08.26 IE000GETKIK8 12,501.00 GBP 0 139,996.32 11.1988
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