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HANetf II ICAV announced Net Asset Value (NAV) information for two of its UCITS ETFs as of 13 February 2026. The Regan Total Return Income Fund UCITS ETF reported 100,000 shares in issue, a Net Asset Value of $1,045,229.46, and a NAV per share of $10.4523. The REX Crypto Equity Income & Growth UCITS ETF reported 476,000 shares in issue, a Net Asset Value of $12,622,697.85, and a NAV per share of $26.5183.
| Date | 16 Feb 2026 |
| Time | 15:46:30 |
| Category | Corporate updates |
| ID | 2213T |
|
Funds
|
ISIN |
Date |
Currency |
Shares In Issue |
Net Asset Value |
NAV Per Share |
|
Regan Total Return Income Fund UCITS ETF |
IE000TD32PU3 |
13 February 2026 |
USD |
100,000 |
$1,045,229.46 |
10.4523 |
|
REX Crypto Equity Income & Growth UCITS ETF
|
IE0008BA4TY1 |
13 February 2026 |
USD |
476,000 |
$12,622,697.85 |
26.5183 |