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CYBR Rizecyber&data

6.977
0.0205 (0.29%)
18 Apr 2024 - Closed
Delayed by 15 minutes
Name Symbol Market Type
Rizecyber&data LSE:CYBR London Exchange Traded Fund
  Price Change % Change Price Bid Price Offer Price High Price Low Price Open Price Traded Last Trade
  0.0205 0.29% 6.977 6.945 7.009 6.95 6.95 6.95 300 16:35:04

Rize UCITS ICAV Net Asset Value(s)

17/01/2024 7:00am

UK Regulatory


 
TIDMPMNT TIDMLERN TIDMLIFE TIDMNFRA TIDMFOOD TIDMCYCL TIDMFLWR TIDMCYBR 
 
RIZE SUSTAINABLE FUTURE OF FOOD UCITS ETF 
 
(LEI: 635400XEUXEEYJDGAN37) 
 
Final Net Asset Value 
 
     FUND NAME           NAV          ISIN         NAV DATE 
  RIZE SUSTAINABLE    3.8879 USD  IE00BLRPQH31  16 January 2024 
FUTURE OF FOOD UCITS 
        ETF 
 
RIZE CYBER SECURITY AND DATA PRIVACY UCITS ETF 
 
(LEI: 635400X9AIBDQQ6PQR51) 
 
Final Net Asset Value 
 
       FUND NAME            NAV­         ISIN         NAV DATE 
RIZE CYBER SECURITY AND  7.3483 USD  IE00BJXRZJ40  16 January 2024 
DATA PRIVACY UCITS ETF 
 
RIZE DIGITAL PAY ECONOMY ETF 
 
(LEI: LEI 635400LYAWYIKLU7RN49) 
 
Final Net Asset Value 
 
         FUND NAME               NAV          ISIN         NAV DATE 
RIZE DIGITAL PAY ECONOMY ETF  3.5788 USD  IE00BLRPRQ96  16 January 2024 
 
RIZE ENVIRONMENTAL IMPACT 100 UCITS ETF 
 
                                                               (LEI: 
635400T4ONQFN1WX1648) 
 
Final Net Asset Value 
 
    FUND NAME          NAV          ISIN         NAV DATE 
RIZE ENVIRONMENTAL  4.4098 USD  IE00BLRPRR08  16 January 2024 
 IMPACT 100 UCITS 
       ETF 
 
                                                                            RIZE 
CIRC ECO ENBL UC ETF 
 
        (LEI: 635400YBHGSVNFVLEM44) 
 
Final Net Asset Value 
 
        FUND NAME             NAV          ISIN         NAV DATE 
RIZE CIRC ECO ENBL UC ETF  5.2054 USD  IE000RMSPY39  16 January 2024 
 
RIZE USA EN IM UCITS ETF 
 
   (LEI: 635400JDXRZVU5MKFT89) 
 
Final Net Asset Value 
 
       FUND NAME             NAV          ISIN         NAV DATE 
RIZE USA EN IM UCITS ETF  4.4898 USD  IE000PY7F8J9  16 January 2024 
 
RIZE GL SUS INF UCITS ETF 
 
   (LEI: 635400MMJMD1KCNSX284) 
 
Final Net Asset Value 
 
        FUND NAME             NAV          ISIN         NAV DATE 
RIZE GL SUS INF UCITS ETF  5.1293 USD  IE000QUCVEN9  16 January 2024 
 
 
This information was brought to you by Cision http://news.cision.com 
 
 
END 
 
 

(END) Dow Jones Newswires

January 17, 2024 02:00 ET (07:00 GMT)

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