TIDMTFGD TIDMTHFA TIDMTGGD TIDMTUGB 
 
[24.01.24] 
 
TABULA ICAV 
 
Fund: Tabula  Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Gl IG Cr      Date                        Issue                Redeemed 
Value       Share     Dividend 
CURVE Stpnr                                                    since 
Date 
UCITS ETF                                                      Previous 
                                                               Valuation 
              23.01.24   IE00BMQ5Y557   199,600.00     EUR         0 
21,019,933.41   105.3103 
 
Fund: TAB     Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Enhanced US   Date                        Issue                Redeemed 
Value       Share     Dividend 
Inflat UCITS                                                   since 
Date 
ETF USD                                                        Previous 
                                                               Valuation 
              23.01.24   IE00BMDWWS85   61,192.00      USD         0 
6,707,530.49   109.6145 
 
Fund: TAB     Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Enhanced US   Date                        Issue                Redeemed 
Value       Share     Dividend 
Inflat UCITS                                                   since 
Date 
ETF USD                                                        Previous 
                                                               Valuation 
              23.01.24   IE00BN0T9H70   41,439.00      GBP         0 
4,433,707.84   106.9936 
 
Fund: TAB     Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Enhanced US   Date                        Issue                Redeemed 
Value       Share     Dividend 
Inflat UCITS                                                   since 
Date 
ETF USD                                                        Previous 
                                                               Valuation 
              23.01.24   IE00BKX90X67   49,911.00      EUR         0 
5,152,366.92   103.2311 
 
Fund: TAB     Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Enhanced US   Date                        Issue                Redeemed 
Value       Share     Dividend 
Inflat UCITS                                                   since 
Date 
ETF USD                                                        Previous 
                                                               Valuation 
              23.01.24   IE00BKX90W50   27,839.00      CHF         0 
2,678,842.26   96.2262 
 
Fund: Tabula  Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
EU HY Bd      Date                        Issue                Redeemed 
Value       Share     Dividend 
Paris Align                                                    since 
Date 
Ct UCITS                                                       Previous 
ETF                                                            Valuation 
              23.01.24   IE000V6NHO66  6,037,618.00    EUR         0 
58,489,268.56    9.6875 
Fund: Tabula  Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
GCC           Date                        Issue                Redeemed 
Value       Share     Dividend 
Sovereign                                                      since 
Date 
USD Bonds                                                      Previous 
UCITS ETF                                                      Valuation 
- USD 
              23.01.24   IE000L1I4R94   23,090.00      USD         0 
238,205.11    10.3164 
Tabula GCC    Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Sovereign     Date                        Issue                Redeemed 
Value       Share     Dividend 
USD Bonds                                                      since 
Date 
UCITS ETF -                                                    Previous 
GBP                                                            Valuation 
HEDGED 
DISTRIBUTING 
              23.01.24   IE000LJG9WK1   669,740.00     GBP         0 
6,792,126.27   10.1414 
Fund: Tabula  Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Global        Date                        Issue                Redeemed 
Value       Share     Dividend 
High Yield                                                     since 
Date 
Fallen                                                         Previous 
Angels                                                         Valuation 
Paris 
-aligned 
Climate 
UCITS ETF 
(USD) - USD 
Acc 
              23.01.24   IE000JL9SV51   836,570.00     USD         0 
8,790,389.92   10.5077 
Tabula        Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Global High   Date                        Issue                Redeemed 
Value       Share     Dividend 
Yield Fallen                                                   since 
Date 
Angels                                                         Previous 
Paris                                                          Valuation 
-aligned 
Climate 
UCITS 
ETF (USD) - 
SEK-Hedged 
Acc 
              23.01.24   IE000BQ3SE47  5,120,550.00    SEK         0 
534,123,880.17  104.3099 
 
Tabula        Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Global High   Date                        Issue                Redeemed 
Value       Share     Dividend 
Yield Fallen                                                   since 
Date 
Angels                                                         Previous 
Paris                                                          Valuation 
-aligned 
Climate 
UCITS 
ETF (USD) - 
GBP-Hedged 
Dist 
              23.01.24   IE000LSFKN16    8,000.00      GBP         0 
83,540.72      10.443 
Tabula        Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Global High   Date                        Issue                Redeemed 
Value       Share     Dividend 
Yield Fallen                                                   since 
Date 
Angels                                                         Previous 
Paris                                                          Valuation 
-aligned 
Climate 
UCITS 
ETF (USD) - 
EUR-Hedged 
Dist 
              23.01.24   IE000LH4DDC2   66,650.00      EUR         0 
689,323.96    10.3424 
 
Tabula EUR    Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Ultrashort    Date                        Issue                Redeemed 
Value       Share     Dividend 
IG Bond                                                        since 
Date 
Paris                                                          Previous 
-Aligned                                                       Valuation 
Climate 
UCITS ETF 
              23.01.24   IE000WXLHR76  2,092,000.00    EUR         0 
21,200,279.46    10.134 
 
Tabula EUR    Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Ultrashort    Date                        Issue                Redeemed 
Value       Share     Dividend 
IG Bond                                                        since 
Date 
Paris                                                          Previous 
-Aligned                                                       Valuation 
Climate 
UCITS ETF 
-GBP 
HEDGED ACC 
              23.01.24   IE000P7C7930   25,990.00      GBP         0 
263,384.74    10.1341 
 
Tabula FTSE   Valuation   ISIN Code     Shares in    Currency  Share        NET 
Asset     NAV per    Ex 
Indian        Date                        Issue                Redeemed 
Value       Share     Dividend 
Government                                                     since 
Date 
Bond Short                                                     Previous 
Duration                                                       Valuation 
UCITS ETF 
-USD 
ACC 
              23.01.24   IE000061JZE2   50,000.00      USD         0 
503,642.43    10.0728 
 
 
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January 24, 2024 03:24 ET (08:24 GMT)

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