- Title:
Net Asset Value(s) - Time:
08:04:24 - Date:
18 Mar 2022 - Category:
Corporate updates - ID:
2619F
[18.03.22]
HSBC ETFs plc
Net Asset Val
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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 |
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|
17/03/2022 |
IE00B4K6B022 |
10,285,000 |
EUR |
0 |
€418,367,461.20 |
€40.6774 |
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Fund: HSBC ASIA PAC EX JAP SUST EQ UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
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17/03/2022 |
IE00BKY58G26 |
12,765,000 |
USD |
0 |
$204,494,388.00 |
$16.0199 |
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Fund: HSBC DEV WORLD SUST EQ UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
17/03/2022 |
IE00BKY59K37 |
5,600,000 |
USD |
0 |
$109,261,950.10 |
$19.5111 |
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Fund: HSBC EUROPE SUSTAINABLE EQ UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
|
17/03/2022 |
IE00BKY55W78 |
6,090,000 |
EUR |
0 |
€79,153,869.93 |
€12.9974 |
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Fund: HSBC JP SUSTAINABLE EQ UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
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|
17/03/2022 |
IE00BKY55S33 |
12,000,000 |
USD |
0 |
$172,787,103.50 |
$14.3989 |
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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 |
|
|
17/03/2022 |
IE00B64PTF05 |
2,640,000 |
GBP |
0 |
£52,203,459.99 |
£19.7740 |
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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 |
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17/03/2022 |
IE00B5L01S80 |
10,100,000 |
USD |
0 |
$263,884,574.00 |
$26.1272 |
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Fund: HSBC UK SUSTAINABLE EQ UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
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17/03/2022 |
IE00BKY53D40 |
460,000 |
GBP |
0 |
£7,520,409.59 |
£16.3487 |
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Fund: HSBC USA SUSTAINABLE EQ UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
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17/03/2022 |
IE00BKY40J65 |
26,980,000 |
USD |
0 |
$635,108,230.70 |
$23.5400 |
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Fund: HSBC HANG SENG TECH UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
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17/03/2022 |
IE00BMWXKN31 |
32,940,000 |
HKD |
0 |
HK$1,614,135,743.00 |
HK$49.0023 |
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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 |
|
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17/03/2022 |
IE00BBQ2W338 |
9,550,000 |
USD |
0 |
$480,187,575.60 |
$50.2814 |
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Fund: MSCI EUR CLIMATE PARIS ALIGNED UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
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17/03/2022 |
IE00BP2C0316 |
705,000 |
EUR |
0 |
€13,434,183.67 |
€19.0556 |
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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 |
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17/03/2022 |
IE00B5LP3W10 |
480,000 |
USD |
0 |
$23,848,523.47 |
$49.6844 |
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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 |
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17/03/2022 |
IE00B4TS3815 |
975,000 |
USD |
0 |
$23,735,693.88 |
$24.3443 |
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Fund: HSBC MSCI JAPAN CPA UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
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17/03/2022 |
IE000UU299V4 |
590,000 |
USD |
0 |
$8,447,459.87 |
$14.3177 |
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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 |
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17/03/2022 |
IE00B5W34K94 |
2,967,000 |
USD |
0 |
$50,752,095.93 |
$17.1055 |
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Fund: HSBC MSCI CHINA A UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
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17/03/2022 |
IE00BF4NQ904 |
4,550,000 |
USD |
0 |
$56,566,101.90 |
$12.4321 |
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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 |
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17/03/2022 |
IE00B51B7Z02 |
1,950,000 |
USD |
0 |
$46,029,968.46 |
$23.6051 |
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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 |
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17/03/2022 |
IE00B44T3H88 |
139,900,000 |
USD |
0 |
$999,286,852.80 |
$7.1429 |
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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 |
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17/03/2022 |
IE00B5SSQT16 |
91,500,000 |
USD |
0 |
$1,032,032,742.00 |
$11.2790 |
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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 |
|
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17/03/2022 |
IE00B5BD5K76 |
7,750,000 |
EUR |
0 |
€118,696,870.90 |
€15.3157 |
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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 |
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17/03/2022 |
IE00B46G8275 |
827,500 |
USD |
0 |
$69,820,576.15 |
$84.3753 |
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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 |
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17/03/2022 |
IE00B5VX7566 |
4,951,273 |
USD |
0 |
$176,308,681.20 |
$35.6088 |
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Fund: HSBC MSCI KOREA 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 |
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17/03/2022 |
IE00B3Z0X395 |
1,190,000 |
USD |
0 |
$68,466,325.82 |
$57.5347 |
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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 |
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17/03/2022 |
IE00B3QMYK80 |
350,000 |
USD |
0 |
$13,705,214.17 |
$39.1578 |
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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 |
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17/03/2022 |
IE00B3X3R831 |
175,500 |
USD |
0 |
$5,289,510.14 |
$30.1397 |
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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 |
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17/03/2022 |
IE00B5SG8Z57 |
16,710,000 |
USD |
0 |
$242,201,789.40 |
$14.4944 |
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Fund: HSBC MSCI SOUTH AFRICA 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 |
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17/03/2022 |
IE00B57S5Q22 |
100,000 |
USD |
0 |
$5,386,606.65 |
$53.8661 |
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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 |
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17/03/2022 |
IE00B3S1J086 |
750,000 |
USD |
0 |
$51,255,430.14 |
$68.3406 |
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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 |
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17/03/2022 |
IE00B5WFQ436 |
900,000 |
USD |
0 |
$38,338,256.72 |
$42.5981 |
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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 |
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17/03/2022 |
IE00B4X9L533 |
150,708,065 |
USD |
0 |
$4,507,321,506.00 |
$29.9076 |
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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 |
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17/03/2022 |
IE00B5BRQB73 |
7,300,000 |
USD |
0 |
$12,136,522.06 |
$1.6625 |
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Fund: MSCI USA CLIMATE PARIS ALIGNED UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
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17/03/2022 |
IE00BP2C1S34 |
1,140,000 |
USD |
0 |
$35,263,297.96 |
$30.9327 |
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Fund: MSCI WORLD CLIM PARIS ALIGNED UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
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17/03/2022 |
IE00BP2C1V62 |
7,540,000 |
USD |
0 |
$176,426,021.60 |
$23.3987 |
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Fund: HSBC NASDAQ GLOB SEMICONDUCTOR UCITS ETF |
Valuation Date |
ISIN Code |
Shares in Issue |
Currency |
Share Redeemed since Previous Valuation |
NET Asset Value |
NAV per Share |
Ex Dividend Date |
|
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17/03/2022 |
IE000YDZG487 |
1,325,000 |
USD |
0 |
$13,212,951.65 |
$9.9720 |
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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 |
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17/03/2022 |
IE00B5KQNG97 |
122,150,000 |
USD |
0 |
$5,430,096,534.00 |
$44.4543 |
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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 |
|
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17/03/2022 |
IE00BKZGB098 |
60,238,343 |
USD |
0 |
$1,520,248,443.00 |
$25.2372 |
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Fund: HSBC BBG EUR SUST CORP 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 |
|
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17/03/2022 |
IE00BKY81B71 |
3,480,000 |
EUR |
0 |
€37,680,893.46 |
€10.8278 |
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Fund: HSBC BBG GLOBAL SUST AGG 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 |
|
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17/03/2022 |
IE000XGNMWE1 |
6,045,000 |
USD |
0 |
$63,901,885.92 |
$10.5710 |
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Fund: HSBC BBG USD SUST CORP 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 |
|
|
17/03/2022 |
IE00BKY81627 |
4,380,000 |
USD |
0 |
$54,692,435.44 |
$12.4869 |
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Net Asset Value(s)08:04:2418 Mar 2022Corporate updates2619F