-

Net Asset Value(s)

LONDON--(BUSINESS WIRE)-- 

Funds

Date

TIDM

ISIN Code

Shares in Issue

Currency

Net Asset Value

NAV/per Share

First Trust Growth Strength UCITS ETF

08.07.2025

FTGS.LN

IE000YZLMXT9

25,002.00

USD

537,505.72

21.499

 

Category Code: NAV
Sequence Number: 1385884
Time of Receipt (offset from UTC): 20250709T111246+0100

Contacts

First Trust Global Funds PLC

First Trust Global Funds PLC

LSE:FTGS

Release Versions

Contacts

First Trust Global Funds PLC

More News From First Trust Global Funds PLC

First Trust Global Funds PLC UK Regulatory Announcement: Net Asset Value(s)

LONDON--(BUSINESS WIRE)--  Funds Date TIDM ISIN Code Shares in Issue Currency Net Asset Value NAV/per Share First Trust Growth Strength UCITS ETF 19.12.2025 FTGS.LN IE000YZLMXT9 25,002.00 USD 555,696.39 22.226  ...

First Trust Global Funds PLC UK Regulatory Announcement: Net Asset Value(s)

LONDON--(BUSINESS WIRE)--  Funds Date TIDM ISIN Code Shares in Issue Currency Net Asset Value NAV/per Share First Trust Growth Strength UCITS ETF 18.12.2025 FTGS.LN IE000YZLMXT9 25,002.00 USD 550,832.14 22.032  ...

First Trust Global Funds PLC UK Regulatory Announcement: Net Asset Value(s)

LONDON--(BUSINESS WIRE)--  Funds Date TIDM ISIN Code Shares in Issue Currency Net Asset Value NAV/per Share First Trust Growth Strength UCITS ETF 17.12.2025 FTGS.LN IE000YZLMXT9 25,002.00 USD 548,910.16 21.955  ...
Back to Newsroom