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RNS Number : 9516Q HSBC Global Funds ICAV 23 October 2023
23.10.23
HSBC Global Funds ICAV
Fund: HSBC GF ICAV Global Sust GV Bd UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE000NOLCFO5 100,000.00 USD 0 980,577.35 9.8058
Fund: HSBC GF ICAV Global Sust GV Bd UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE000VYC5HU2 50,000.00 GBP 0 489,551.28 9.791
Fund: HSBC GF ICAV Global Sust GV Bd UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE000389GTC0 150,000.00 EUR 0 1,466,495.43 9.7766
Fund: HSBC GF ICAV China GV Bond UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE0004A007J3 62,000.00 USD 0 624,346.99 10.0701
Fund: HSBC GF ICAV China GV Bond UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE000YUU9UG5 144,000.00 EUR 0 1,451,437.04 10.0794
Fund: HSBC GF ICAV China GV Bond UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE0009PACXU3 27,500.00 GBP 0 276,783.09 10.0648
Fund: HSBC GF ICAV China GV Bond UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE000N5JOGS2 320,000.00 USD 0 3,152,447.05 9.8514
Fund: HSBC GF ICAV Global Gov Bond UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE0006NCFSW9 135,000.00 USD 0 1,303,064.92 9.6523
Fund: HSBC GF ICAV Global Gov Bond UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE000Q7EQ7R4 40,000.00 GBP 0 385,341.69 9.6335
Fund: HSBC GF ICAV Global Gov Bond UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE000QL3QEM2 90,000.00 EUR 0 865,880.79 9.6209
Fund: : HSBC GF ICAV Global Sukuk UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE000E8WZD37 10,000.00 USD 0 97,672.37 9.7672
Fund: : HSBC GF ICAV Global Corporate Bond UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE000EHRXW91 10,000.00 USD 0 98,230.22 9.823
Fund: : HSBC GF ICAV Global Corporate Bond UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE000MY0C911 10,000.00 EUR 0 98,164.86 9.8165
Fund: : HSBC GF ICAV Global Corporate Bond UCITS ETF Valuation Date ISIN Code Shares in Issue Currency Share Redeemed since Previous Valuation NET Asset Value NAV per Share Ex Dividend Date
20.10.23 IE0005FQHJC4 10,000.00 GBP 0 98,191.27 9.8191
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