iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s) (2024)

iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)

iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s) (1)

RNS Number : 8723O

iShares II EU CB ESG GBP Hedged Dis

17 May 2024

FUND:

iShares € Corp Bond ESG UCITS ETFGBP Hedged (Dist)

DEALING DATE:

16-May-24

NAV PER SHARE:

Official NAV GBP 4.627804

NUMBER OF SHARES INISSUE:

41,245,561

CODE:

SUOG LN

ISIN:

IE00BK74KV56

DISCLAIMER:

All information provided byBlackRock is purely of an indicative nature and subject to changewithout notice at any time. The information is for guidance onlyand does not represent an offer, investment advice or any kind offinancial service. Although BlackRock has obtained the informationprovided from sources that should be considered reliable, BlackRockcannot guarantee its accuracy, completeness or that it is fit forany particular purpose. The information provided does not conferany rights.

Past performance is not a guide tofuture performance. The value of investments and the incomefrom them can fall as well as rise and is not guaranteed. Youmay not get back the amount originally invested. Changes inthe rates of exchange between currencies may cause the value ofinvestments to diminish or increase. Fluctuation may beparticularly marked in the case of a higher volatility fund orsegregated account and the value of an investment may fall suddenlyand substantially. Levels and basis of taxation may changefrom time to time. iShares® and BlackRock® are registeredtrademarks of BlackRock, Inc., or its subsidiaries in the UnitedStates and elsewhere.

© 2024 BlackRock Advisors (UK)Limited, authorised and regulated by the Financial ConductAuthority. Registered office: 12 Throgmorton Avenue, London,EC2N 2DL. Tel: 020 7743 3000. Registered in England No.00796793.

This information is provided by RNS, the news service of theLondon Stock Exchange. RNS is approved by the Financial ConductAuthority to act as a Primary Information Provider in the UnitedKingdom. Terms and conditions relating to the use and distributionof this information may apply. For further information, pleasecontact rns@lseg.com or visitwww.rns.com.

RNS may use your IP address to confirm compliance with the termsand conditions, to analyse how you engage with the informationcontained in this communication, and to share such analysis on ananonymised basis with others as part of our commercial services.For further information about how RNS and the London Stock Exchangeuse the personal data you provide us, please see our PrivacyPolicy.

END

NAVGZGMKZNGGDZG

Is � Cb G H (LSE:SUOG)
Historical Stock Chart
From Apr 2024 to May 2024

Is � Cb G H (LSE:SUOG)
Historical Stock Chart
From May 2023 to May 2024

iShares II EU CB ESG GBP Hedged Dis News

Loading Messages....

`,data() {return {tabs: [] };},created() {this.tabs = this.$children;},methods: {selectTab(selectedTab) {this.tabs.forEach(tab => {tab.isActive = (tab.name == selectedTab.name);});}}});Vue.component('tab', {template: `

`,props: {name: { required: true },selected: { default: false}},data() {return {isActive: false};},computed: {href() {return '#' + this.name.toLowerCase().replace(/ /g, '-');}},mounted() {this.isActive = this.selected;}});Vue.component('newslist', {template: `

No News, be the first to add your company releases.

`,props: {source: { required: true },rawarticles: { required: true },limit: { default: 12 }},methods: {processData: function(articles){if(articles.length > this.limit){articles = articles.slice(0, this.limit);}this.articles = articles;this.loaded = true;Vue.nextTick(function(){});},stripRedudancies: function(articles){return _.uniqBy(articles, "headline");}},data() {return {loaded: false,articles: []};},mounted() {this.processData(this.rawarticles);}});new Vue({el: '#nw-news-widget',data: {loaded: false,availableTabs: {"Press Releases": [{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 17 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 16-May-24 NAV PER SHARE: Official NAV GBP 4.627804 NUMBER OF SHARES...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 17 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 16-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93875297\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715926205,"date":"Fri May 17, 2024 ","time":"2:10 AM (3 days ago)","full_date":"May 17, 2024 2:10 AM","post_time":"May 17 2024","article_id":93875297,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 16 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 15-May-24 NAV PER SHARE: Official NAV GBP 4.70162 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 16 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 15-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93863697\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715839807,"date":"Thu May 16, 2024 ","time":"2:10 AM (4 days ago)","full_date":"May 16, 2024 2:10 AM","post_time":"May 16 2024","article_id":93863697,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 15 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 14-May-24 NAV PER SHARE: Official NAV GBP 4.679124 NUMBER OF SHARES...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 15 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 14-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93852285\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715753408,"date":"Wed May 15, 2024 ","time":"2:10 AM (5 days ago)","full_date":"May 15, 2024 2:10 AM","post_time":"May 15 2024","article_id":93852285,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 14 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 13-May-24 NAV PER SHARE: Official NAV GBP 4.686419 NUMBER OF SHARES...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 14 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 13-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93841091\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715667007,"date":"Tue May 14, 2024 ","time":"2:10 AM (6 days ago)","full_date":"May 14, 2024 2:10 AM","post_time":"May 14 2024","article_id":93841091,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 13 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 10-May-24 NAV PER SHARE: Official NAV GBP 4.682487 NUMBER OF SHARES...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 13 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 10-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93830919\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715580607,"date":"Mon May 13, 2024 ","time":"2:10 AM (7 days ago)","full_date":"May 13, 2024 2:10 AM","post_time":"May 13 2024","article_id":93830919,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 10 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 9-May-24 NAV PER SHARE: Official NAV GBP 4.687312 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 10 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 9-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93821382\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715321406,"date":"Fri May 10, 2024 ","time":"2:10 AM (1 week ago)","full_date":"May 10, 2024 2:10 AM","post_time":"May 10 2024","article_id":93821382,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 09 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 8-May-24 NAV PER SHARE: Official NAV GBP 4.69007 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 09 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 8-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93810005\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715235007,"date":"Thu May 09, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 9, 2024 2:10 AM","post_time":"May 09 2024","article_id":93810005,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Dividend Declaration","short_text":" iShares II EU CB ESG GBP Hedged Dis 09 May 2024 \u00a0 iShares II Public Limited Company Date: 08 May 2024 \u00a0 \u00a0 Interim distribution in respect of current financial year \u00a0 \u00a0 Announcement Date: 09...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 09 May 2024 \u00a0 iShares II Public Limited Company Date: 08 May 2024 \u00a0 \u00a0 Interim distribution in respect of...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93809549\/ishares-ii-eu-cb-esg-gbp-hedged-dis-dividend-decla","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715234411,"date":"Thu May 09, 2024 ","time":"2:00 AM (2 weeks ago)","full_date":"May 9, 2024 2:00 AM","post_time":"May 09 2024","article_id":93809549,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 08 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 7-May-24 NAV PER SHARE: Official NAV GBP 4.696165 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 08 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 7-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93798816\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715148607,"date":"Wed May 08, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 8, 2024 2:10 AM","post_time":"May 08 2024","article_id":93798816,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 07 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 3-May-24 NAV PER SHARE: Official NAV GBP 4.680688 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 07 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 3-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93788146\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715062206,"date":"Tue May 07, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 7, 2024 2:10 AM","post_time":"May 07 2024","article_id":93788146,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 03 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 2-May-24 NAV PER SHARE: Official NAV GBP 4.665884 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 03 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 2-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93772442\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1714716606,"date":"Fri May 03, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 3, 2024 2:10 AM","post_time":"May 03 2024","article_id":93772442,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 02 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 1-May-24 NAV PER SHARE: Fund Holiday NUMBER OF SHARES IN ISSUE: CODE:...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 02 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 1-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93764139\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1714630207,"date":"Thu May 02, 2024 ","time":"2:10 AM (3 weeks ago)","full_date":"May 2, 2024 2:10 AM","post_time":"May 02 2024","article_id":93764139,"source_id":"lseg_rns","media_url":null,"press_release":true}],"All News": [{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 17 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 16-May-24 NAV PER SHARE: Official NAV GBP 4.627804 NUMBER OF SHARES...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 17 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 16-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93875297\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715926205,"date":"Fri May 17, 2024 ","time":"2:10 AM (3 days ago)","full_date":"May 17, 2024 2:10 AM","post_time":"May 17 2024","article_id":93875297,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 16 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 15-May-24 NAV PER SHARE: Official NAV GBP 4.70162 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 16 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 15-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93863697\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715839807,"date":"Thu May 16, 2024 ","time":"2:10 AM (4 days ago)","full_date":"May 16, 2024 2:10 AM","post_time":"May 16 2024","article_id":93863697,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 15 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 14-May-24 NAV PER SHARE: Official NAV GBP 4.679124 NUMBER OF SHARES...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 15 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 14-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93852285\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715753408,"date":"Wed May 15, 2024 ","time":"2:10 AM (5 days ago)","full_date":"May 15, 2024 2:10 AM","post_time":"May 15 2024","article_id":93852285,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 14 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 13-May-24 NAV PER SHARE: Official NAV GBP 4.686419 NUMBER OF SHARES...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 14 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 13-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93841091\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715667007,"date":"Tue May 14, 2024 ","time":"2:10 AM (6 days ago)","full_date":"May 14, 2024 2:10 AM","post_time":"May 14 2024","article_id":93841091,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 13 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 10-May-24 NAV PER SHARE: Official NAV GBP 4.682487 NUMBER OF SHARES...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 13 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 10-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93830919\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715580607,"date":"Mon May 13, 2024 ","time":"2:10 AM (7 days ago)","full_date":"May 13, 2024 2:10 AM","post_time":"May 13 2024","article_id":93830919,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 10 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 9-May-24 NAV PER SHARE: Official NAV GBP 4.687312 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 10 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 9-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93821382\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715321406,"date":"Fri May 10, 2024 ","time":"2:10 AM (1 week ago)","full_date":"May 10, 2024 2:10 AM","post_time":"May 10 2024","article_id":93821382,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 09 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 8-May-24 NAV PER SHARE: Official NAV GBP 4.69007 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 09 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 8-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93810005\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715235007,"date":"Thu May 09, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 9, 2024 2:10 AM","post_time":"May 09 2024","article_id":93810005,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Dividend Declaration","short_text":" iShares II EU CB ESG GBP Hedged Dis 09 May 2024 \u00a0 iShares II Public Limited Company Date: 08 May 2024 \u00a0 \u00a0 Interim distribution in respect of current financial year \u00a0 \u00a0 Announcement Date: 09...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 09 May 2024 \u00a0 iShares II Public Limited Company Date: 08 May 2024 \u00a0 \u00a0 Interim distribution in respect of...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93809549\/ishares-ii-eu-cb-esg-gbp-hedged-dis-dividend-decla","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715234411,"date":"Thu May 09, 2024 ","time":"2:00 AM (2 weeks ago)","full_date":"May 9, 2024 2:00 AM","post_time":"May 09 2024","article_id":93809549,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 08 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 7-May-24 NAV PER SHARE: Official NAV GBP 4.696165 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 08 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 7-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93798816\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715148607,"date":"Wed May 08, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 8, 2024 2:10 AM","post_time":"May 08 2024","article_id":93798816,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 07 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 3-May-24 NAV PER SHARE: Official NAV GBP 4.680688 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 07 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 3-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93788146\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715062206,"date":"Tue May 07, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 7, 2024 2:10 AM","post_time":"May 07 2024","article_id":93788146,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 03 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 2-May-24 NAV PER SHARE: Official NAV GBP 4.665884 NUMBER OF SHARES IN...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 03 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 2-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93772442\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1714716606,"date":"Fri May 03, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 3, 2024 2:10 AM","post_time":"May 03 2024","article_id":93772442,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s)","short_text":" iShares II EU CB ESG GBP Hedged Dis 02 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 1-May-24 NAV PER SHARE: Fund Holiday NUMBER OF SHARES IN ISSUE: CODE:...","one_line_short_text":"iShares II EU CB ESG GBP Hedged Dis 02 May 2024 \u00a0 FUND: iShares \u20ac Corp Bond ESG UCITS ETF GBP Hedged (Dist) DEALING DATE: 1-May-24 NAV PER...","link":"https:\/\/ih.advfn.com\/stock-market\/london\/SUOG\/stock-news\/93764139\/ishares-ii-eu-cb-esg-gbp-hedged-dis-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1714630207,"date":"Thu May 02, 2024 ","time":"2:10 AM (3 weeks ago)","full_date":"May 2, 2024 2:10 AM","post_time":"May 02 2024","article_id":93764139,"source_id":"lseg_rns","media_url":null,"press_release":true}],"Preferred Contributors": ""}},created: function () {this.loaded = true;Vue.nextTick(function(){});}});});

More iShares II EU CB ESG GBP Hedged Dis News Articles

iShares II EU CB ESG GBP Hedged Dis Net Asset Value(s) (2024)
Top Articles
Latest Posts
Article information

Author: Aracelis Kilback

Last Updated:

Views: 6613

Rating: 4.3 / 5 (44 voted)

Reviews: 83% of readers found this page helpful

Author information

Name: Aracelis Kilback

Birthday: 1994-11-22

Address: Apt. 895 30151 Green Plain, Lake Mariela, RI 98141

Phone: +5992291857476

Job: Legal Officer

Hobby: LARPing, role-playing games, Slacklining, Reading, Inline skating, Brazilian jiu-jitsu, Dance

Introduction: My name is Aracelis Kilback, I am a nice, gentle, agreeable, joyous, attractive, combative, gifted person who loves writing and wants to share my knowledge and understanding with you.