TIDMIEXF

RNS Number : 7185N

iShares III Eur Corp Bd Ex-Fin Dist

26 September 2019

 
 FUND:                  iShares ? Corp Bond ex-Financials UCITS 
                         ETF EUR (Dist) 
 DEALING DATE:          25-Sep-19 
 NAV PER SHARE:         Official NAV EUR 120.879728 
                        GBP (Equivalent) 107.003876 
 NUMBER OF SHARES IN 
  ISSUE:                12,725,822 
 CODE:                  IEXF LN 
 ISIN:                  IE00B4L5ZG21 
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                         provided does not confer any rights. 
                        Past performance is not a guide to 
                         future performance. The value of investments 
                         and the income from them can fall as 
                         well as rise and is not guaranteed. 
                         You may not get back the amount originally 
                         invested. Changes in the rates of exchange 
                         between currencies may cause the value 
                         of investments to diminish or increase. 
                         Fluctuation may be particularly marked 
                         in the case of a higher volatility 
                         fund or segregated account and the 
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                         and substantially. Levels and basis 
                         of taxation may change from time to 
                         time. iShares® and BlackRock® are registered 
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                         elsewhere. 
                        © 2019 BlackRock Advisors (UK) Limited, 
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                         Conduct Authority. Registered office: 
                         12 Throgmorton Avenue, London, EC2N 
                         2DL. Tel: 020 7743 3000. Registered 
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September 26, 2019 02:10 ET (06:10 GMT)

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