Funds Date TIDM ISIN Code Shares Net Asset Currency NAV/per Entitlement in Value Share Issue iShares 17/ CSEM LU0254097446 8572923 884779029.1 USD 103.2062 MSCI 01/ SE Emerging 2014 Markets / UCITS ETF (Lux) iShares 17/ CSEMUL LU0154139132 2529684 285029719 EUR 112.674 MSCI EMU 01/ SE Large 2014 Cap / UCITS ETF (Lux) iShares 17/ CSEMUM LU0312694234 1886073 135557171.9 EUR 71.8727 MSCI EMU 01/ SE Mid Cap 2014 UCITS / ETF (Lux)
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