REG - Vanguard Funds PLC - Net Asset Value(s)
RNS Number : 7214QVanguard Funds PLC23 June 2020
Fund:
Vanguard S&P 500 UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
59.1069
Tckr:
VUSD
Fund:
Vanguard S&P 500 UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
56.0249
Tckr:
VUAA
Fund:
Vanguard FTSE All-World UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
81.1794
Tckr:
VWRA
Fund:
Vanguard FTSE All-World UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
87.0035
Tckr:
VWRD
Fund:
Vanguard FTSE Emerging Markets UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
49.8856
Tckr:
VFEA
Fund:
Vanguard FTSE Emerging Markets UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
54.5631
Tckr:
VDEM
Fund:
VANGUARD UK GILTS UCITS ETF
Date:
22/6/2020
Curr:
GBP
NAV:
29.0290
Tckr:
VGVA
Fund:
VANGUARD UK GILTS ETF
Date:
22/6/2020
Curr:
GBP
NAV:
26.2492
Tckr:
VGOV
Fund:
Vanguard FTSE 100 UCITS ETF
Date:
22/6/2020
Curr:
GBP
NAV:
27.0011
Tckr:
VUKG
Fund:
Vanguard FTSE 100 UCITS ETF
Date:
22/6/2020
Curr:
GBP
NAV:
27.4085
Tckr:
VUKE
Fund:
Vanguard FTSE Developed Europe UCITS ETF
Date:
22/6/2020
Curr:
EUR
NAV:
28.2024
Tckr:
VWCG
Fund:
Vanguard FTSE Developed Europe UCITS ETF
Date:
22/6/2020
Curr:
EUR
NAV:
28.1955
Tckr:
VEUR
Fund:
Vanguard FTSE Developed Asia Pacific ex Japan UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
23.7886
Tckr:
VAPU
Fund:
Vanguard FTSE Developed Asia Pacific ex Japan UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
22.7384
Tckr:
VDPX
Fund:
Vanguard FTSE Japan UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
25.0406
Tckr:
VJPA
Fund:
Vanguard FTSE Japan UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
29.7409
Tckr:
VDJP
Fund:
Vanguard FTSE Japan UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
23.8992
Tckr:
VJPU
Fund:
Vanguard FTSE Japan UCITS ETF
Date:
22/6/2020
Curr:
EUR
NAV:
23.6939
Tckr:
VJPE
Fund:
Vanguard FTSE All-World High Dividend Yield UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
45.3934
Tckr:
VHYA
Fund:
Vanguard FTSE All-World High Dividend Yield UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
48.1202
Tckr:
VHYD
Fund:
Vanguard FTSE North America UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
73.8324
Tckr:
VNRA
Fund:
Vanguard FTSE North America UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
76.8513
Tckr:
VDNR
Fund:
Vanguard FTSE Developed Europe ex UK UCITS ETF
Date:
22/6/2020
Curr:
EUR
NAV:
29.1883
Tckr:
VERE
Fund:
Vanguard FTSE Developed Europe ex UK UCITS ETF
Date:
22/6/2020
Curr:
EUR
NAV:
28.5478
Tckr:
VERX
Fund:
Vanguard FTSE 250 UCITS ETF
Date:
22/6/2020
Curr:
GBP
NAV:
27.9295
Tckr:
VMIG
Fund:
Vanguard FTSE 250 UCITS ETF
Date:
22/6/2020
Curr:
GBP
NAV:
27.4447
Tckr:
VMID
Fund:
Vanguard FTSE Developed World UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
61.8407
Tckr:
VHVE
Fund:
Vanguard FTSE Developed World UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
64.8256
Tckr:
VDEV
Fund:
VANGUARD GBL MIN VOLATIL ETF
Date:
22/6/2020
Curr:
USD
NAV:
32.2862
Tckr:
VDMV
Fund:
VANGUARD GBL VALUE FAC ETF
Date:
22/6/2020
Curr:
USD
NAV:
26.6033
Tckr:
VDVA
Fund:
VANGUARD GBL MOMENTUM FAC ETF
Date:
22/6/2020
Curr:
USD
NAV:
34.6249
Tckr:
VDMO
Fund:
VANGUARD GBL LIQUIDITY FAC ETF
Date:
22/6/2020
Curr:
USD
NAV:
32.9281
Tckr:
VDLQ
Fund:
VANGUARD EURO CORP BOND ETF
Date:
22/6/2020
Curr:
EUR
NAV:
51.4902
Tckr:
VECA
Fund:
VANGUARD EURO CORP BOND ETF
Date:
22/6/2020
Curr:
EUR
NAV:
52.9245
Tckr:
VECP
Fund:
VANGUARD EURO EZ GOVT BOND ETF
Date:
22/6/2020
Curr:
EUR
NAV:
26.9369
Tckr:
VGEA
Fund:
VANGUARD EURO EZ GOVT BOND ETF
Date:
22/6/2020
Curr:
EUR
NAV:
27.0710
Tckr:
VETY
Fund:
VANGUARD US CORP BOND ETF
Date:
22/6/2020
Curr:
USD
NAV:
58.0122
Tckr:
VDPA
Fund:
VANGUARD US CORP BOND ETF
Date:
22/6/2020
Curr:
USD
NAV:
56.7454
Tckr:
VDCP
Fund:
VANGUARD US TREASURY ETF
Date:
22/6/2020
Curr:
USD
NAV:
28.7449
Tckr:
VDTA
Fund:
VANGUARD US TREASURY ETF
Date:
22/6/2020
Curr:
USD
NAV:
26.8519
Tckr:
VDTY
Fund:
VANGUARD USD EM GOVT BOND ETF
Date:
22/6/2020
Curr:
USD
NAV:
53.8626
Tckr:
VDEA
Fund:
VANGUARD USD EM GOVT BOND ETF
Date:
22/6/2020
Curr:
USD
NAV:
50.5431
Tckr:
VDET
Fund:
Vanguard Euro STOXX 50 UCITS ETF
Date:
22/6/2020
Curr:
EUR
NAV:
22.4744
Tckr:
VX5E
Fund:
VAN USD CORP 1 3 YR BD UCITS
Date:
22/6/2020
Curr:
USD
NAV:
53.1979
Tckr:
VDCA
Fund:
VAN USD CORP 1 3 YR BD UCITS
Date:
22/6/2020
Curr:
USD
NAV:
51.5424
Tckr:
VDUC
Fund:
VANGUARD DAX UCITS ETF
Date:
22/6/2020
Curr:
EUR
NAV:
22.9896
Tckr:
VDXX
Fund:
Vanguard Global Aggregate UCITS ETF
Date:
22/6/2020
Curr:
GBP
NAV:
26.3703
Tckr:
VAGS
Fund:
Vanguard Global Aggregate UCITS ETF
Date:
22/6/2020
Curr:
GBP
NAV:
26.0531
Tckr:
VAGP
Fund:
Vanguard Global Aggregate UCITS ETF
Date:
22/6/2020
Curr:
EUR
NAV:
25.7332
Tckr:
VAGE
Fund:
Vanguard Global Aggregate UCITS ETF
Date:
22/6/2020
Curr:
EUR
NAV:
26.0527
Tckr:
VAGF
Fund:
Vanguard Global Aggregate UCITS ETF
Date:
22/6/2020
Curr:
USD
NAV:
26.7002
Tckr:
VAGU
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