- Title:
Net Asset Value(s) - Time:
07:32:52 - Date:
28 Apr 2020 - Category:
Corporate updates - ID:
1311L
[28.04.20]
HSBC ETFs plc
Net Asset Val
| Fund: HSBC EURO STOXX 50 UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B4K6B022 |
3,610,000 |
EUR |
0 |
€108,437,311.80 |
€30.0380 |
|
|
|
|
|
|
|
|
|
|
|
| Fund: HSBC ECONOMIC SCALE WW EQUITY UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00BKZG9Y92 |
24,916,354 |
USD |
0 |
$338,781,022.70 |
$13.5967 |
4/23/2020 |
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|
|
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|
|
| Fund: HSBC FTSE 100 UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B42TW061 |
4,690,000 |
GBP |
0 |
£272,839,474.00 |
£58.1747 |
|
|
|
|
|
|
|
|
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|
|
| Fund: HSBC FTSE 250 UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B64PTF05 |
2,480,000 |
GBP |
0 |
£37,496,522.52 |
£15.1196 |
4/23/2020 |
|
|
|
|
|
|
|
|
|
|
| Fund: HSBC FTSE EPRANAREIT DEVELOPED UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5L01S80 |
7,600,000 |
USD |
0 |
$142,855,902.00 |
$18.7968 |
4/23/2020 |
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|
|
|
|
|
|
|
|
|
| Fund: HSBC MSCI AC FAR EAST EX JAPAN UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00BBQ2W338 |
8,650,000 |
USD |
0 |
$369,422,974.90 |
$42.7079 |
|
|
|
|
|
|
|
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|
|
| Fund: HSBC MSCI EM FAR EAST UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5LP3W10 |
280,000 |
USD |
0 |
$11,983,823.98 |
$42.7994 |
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|
|
| Fund: HSBC MSCI EM LATIN AMERICA UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B4TS3815 |
825,000 |
USD |
0 |
$12,722,598.73 |
$15.4213 |
4/23/2020 |
|
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|
|
| Fund: HSBC MSCI BRAZIL UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5W34K94 |
2,967,000 |
USD |
0 |
$33,803,636.32 |
$11.3932 |
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|
| Fund: HSBC MSCI CHINA A INCL UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00BF4NQ904 |
3,800,000 |
USD |
0 |
$36,227,557.35 |
$9.5336 |
|
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|
|
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|
|
| Fund: HSBC MSCI CANADA UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B51B7Z02 |
2,100,000 |
USD |
0 |
$30,161,546.35 |
$14.3626 |
|
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|
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|
|
| Fund: HSBC MSCI CHINA UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B44T3H88 |
48,550,000 |
USD |
0 |
$390,600,314.30 |
$8.0453 |
|
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| Fund: HSBC MSCI SAUDIARABIA 2035 CAP UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00BGHHCV04 |
780,000 |
USD |
0 |
$9,785,935.41 |
$12.5461 |
4/23/2020 |
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| Fund: HSBC MSCI EMERGING MARKETS UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5SSQT16 |
22,500,000 |
USD |
0 |
$202,813,973.70 |
$9.0140 |
4/23/2020 |
|
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|
|
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|
| Fund: HSBC MSCI EUROPE UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5BD5K76 |
13,500,000 |
EUR |
0 |
€154,594,501.40 |
€11.4514 |
|
|
|
|
|
|
|
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|
|
| Fund: HSBC MSCI INDONESIA UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B46G8275 |
640,000 |
USD |
0 |
$34,092,404.26 |
$53.2694 |
|
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| Fund: HSBC MSCI JAPAN UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5VX7566 |
4,751,273 |
USD |
0 |
$141,861,455.40 |
$29.8576 |
|
|
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|
|
|
|
|
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|
|
| Fund: HSBC MSCI KOREA UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B3Z0X395 |
280,000 |
USD |
0 |
$11,332,701.48 |
$40.4739 |
|
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| Fund: HSBC MSCI MEXICO CAPPED UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B3QMYK80 |
400,000 |
USD |
0 |
$8,243,869.26 |
$20.6097 |
|
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| Fund: HSBC MSCI MALAYSIA UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B3X3R831 |
153,000 |
USD |
0 |
$4,139,794.12 |
$27.0575 |
|
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| Fund: HSBC MSCI PACIFIC EX JAPAN UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5SG8Z57 |
7,410,000 |
USD |
0 |
$80,144,683.27 |
$10.8157 |
|
|
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|
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|
|
|
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|
|
| Fund: HSBC MSCI RUSSIA CAPPED UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5LJZQ16 |
11,525,000 |
USD |
0 |
$106,696,319.30 |
$9.2578 |
|
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| Fund: HSBC MSCI TAIWAN CAPPED UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B3S1J086 |
300,000 |
USD |
0 |
$11,487,446.64 |
$38.2915 |
|
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| Fund: HSBC MSCI USA UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5WFQ436 |
1,150,000 |
USD |
0 |
$31,785,100.64 |
$27.6392 |
|
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| Fund: HSBC MSCI WORLD UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B4X9L533 |
67,658,065 |
USD |
0 |
$1,363,099,881.00 |
$20.1469 |
4/23/2020 |
|
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| Fund: HSBC MSCI TURKEY UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5BRQB73 |
4,000,000 |
USD |
0 |
$7,279,636.02 |
$1.8199 |
|
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| Fund: HSBC S&P 500 UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00B5KQNG97 |
117,150,000 |
USD |
0 |
$3,392,458,038.00 |
$28.9582 |
|
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| Fund: HSBC MULTI FACTOR WW EQUITY UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
27/04/2020 |
IE00BKZGB098 |
19,838,343 |
USD |
0 |
$343,759,020.90 |
$17.3280 |
4/23/2020 |
Net Asset Value(s)07:32:5228 Apr 2020Corporate updates1311L