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.
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Mirae Asset ETF ICAV said the unaudited net asset values were calculated as at 29 September 2026 for multiple Global X UCITS ETFs.
The company reported unaudited net asset values as at 28 September 2026 for multiple Global X UCITS ETFs, including video games, telemedicine, cleantech and cybersecurity funds.
Global X ETFs ICAV published unaudited net asset values for multiple UCITS ETF share classes as at 25 September 2026. The notice lists NAV per share for funds including video games, telemedicine, cleantech and cybersecurity ETFs.