Fair Oaks Capital ETFs - Net Asset Value(s)
13 Marzo 2025 - 8:00AM
UK Regulatory
Fair Oaks Capital ETFs - Net Asset
Value(s)
PR Newswire
LONDON, United Kingdom, March 13
Fund
name
|
Share
class name
|
Date
|
ISIN
|
Currency
|
NAV
per share
|
Shares
outstanding
|
Fund total
net assets (EUR)
|
ALPHA UCITS-FAIR OAKS AAA CLO
FUND
|
UCITS ETF GBP Hedged
Acc.
|
12/03/2025
|
LU2825557270
|
GBP
|
10.08
|
17
852.00
|
79 335
477.25
|
ALPHA UCITS-FAIR OAKS AAA CLO
FUND
|
UCITS ETF EUR
Dist.
|
12/03/2025
|
LU2785470191
|
EUR
|
1
018.76
|
10
600.00
|
79 335
477.25
|
Fair Oaks AAA CLO Fund is a sub-fund of Alpha UCITS
SICAV
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