Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

Smart NZ Bond ETF Net Asset Value 2019

Jun 27, 2019

66241_rns_2019-06-27_a2a03cb7-d624-4dc1-87c9-a78a2c75a3e3.pdf

Net Asset Value

Open in viewer

Opens in your device viewer

Level 7, Zurich House, 21 Queen Street, PO Box 105262, Auckland, New Zealand [email protected]

==> picture [234 x 38] intentionally omitted <==

Thursday 27 June 2019

Amendment: Net Tangible Assets – Smartshares NZ Bond ETF and Smartshares Global Bond ETF

Smartshares Limited, the manager of the Smartshares Exchange Traded Funds, advises the market that the Net Tangible Asset ( NTA ) announcements for the Smartshares NZ Bond ETF (NZB) and Smartshares Global Bond ETF (GBF) released on Tuesday 25 June 2019 and Wednesday 26 June 2019 contained immaterial errors.

Smartshares informs the market that it is currently working to provide the updated NTA amounts for the dates noted above. In the meantime, Smartshares reports the NTA and Units on Issue for each of the Smartshares Exchange Traded Funds as at today, Thursday 27 June 2019.

www.smartshares.co.nz