Global X ETFs ICAV announces unaudited NAVs for multiple UCITS ETFs
Mirae Asset ETF ICAV said the unaudited net asset values were calculated as at 29 September 2026 for multiple Global X UCITS ETFs.
Mirae Asset ETF ICAV said the unaudited net asset values were calculated as at 29 September 2026 for multiple Global X UCITS ETFs.