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Regulatory Story
Company Invesco RAFI EU Md
TIDM PSES
Headline Net Asset Value(s)
Released 11:12 18-Apr-2019
Number 91111-D824

Net Asset Value(s)
Funds      Date       Ticker   ISIN code    Shares in  Currency Net Asset     NAV/per
                      Symbol                Issue               Value         share
                                                                              Base

Invesco    17.04.2019 PSES     IE00B23D8Y98 800,001    EUR      12,243,320    15.30413
FTSE RAFI
Europe
Mid-Small
UCITS ETF
 

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