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iShares Core MSCI World Ex Australia ESG Leaders ETF (ASX: IWLD) - Announcements

Current share price for IWLD : $61.140 0.59 (0.96%)+

iShares Core MSCI World Ex Australia ESG Leaders ETF (IWLD) is an Exchange Traded Fund - commonly known as an ETF. For more details about how ETFs work, feel free to check out our What is an ETF? overview. iShares Core MSCI World Ex Australia ESG Leaders ETF (IWLD, formerly iShares Core MSCI World All Cap ETF) aims to provide investors with the performance of the MSCI World Ex Australia Custom ESG Leaders Index, before fees and expenses.

Latest company announcements for iShares Core MSCI World Ex Australia ESG Leaders ETF (IWLD)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$1,125 Estimated Distribution Announcement 21 Dec 2020 8:56AM $39.050 $61.140 risen by 56.57%
$1,125 Distribution Dates 14 Dec 2020 8:56AM $38.720 $61.140 risen by 57.90%
$1,125 iShares International Equity ETFs PDS 11 Dec 2020 9:12AM $39.100 $61.140 risen by 56.37%
$1,125 Number of Outstanding iShares Units 3 Dec 2020 9:01AM $39.310 $61.140 risen by 55.53%
$1,125 US Thanksgiving Day Holiday, Thursday 26 November 2020 26 Nov 2020 8:45AM $39.370 $61.140 risen by 55.30%
$1,125 Number of Outstanding iShares Units 4 Nov 2020 8:24AM $36.650 $61.140 risen by 66.82%
$1,125 Number of Outstanding iShares Units 2 Oct 2020 9:35AM $36.490 $61.140 risen by 67.55%
$1,125 Annual Financial Report 30 June 2020 29 Sep 2020 9:59AM $36.520 $61.140 risen by 67.42%
$1,125 US Labor Day Holiday, Monday 7 September 2020 4 Sep 2020 8:18AM $37.590 $61.140 risen by 62.65%
$1,125 Number of Outstanding iShares Units 2 Sep 2020 9:12AM $36.480 $61.140 risen by 67.60%
$1,125 Change of Address 21 Aug 2020 4:22PM $36.710 $61.140 risen by 66.55%
$1,125 Number of Outstanding iShares Units 6 Aug 2020 9:12AM $36.130 $61.140 risen by 69.22%
$1,125 Components of Distributions 6 Jul 2020 9:43AM $35.550 $61.140 risen by 71.98%
$1,125 Distribution Reinvestment Plan Prices 2 Jul 2020 9:17AM $35.250 $61.140 risen by 73.45%
$1,125 Final Distribution Announcement 2 Jul 2020 9:15AM $35.250 $61.140 risen by 73.45%
$1,125 Number of Outstanding iShares Units 2 Jul 2020 9:12AM $35.250 $61.140 risen by 73.45%
$1,125 Estimated Distribution Announcement 30 Jun 2020 9:47AM $35.110 $61.140 risen by 74.14%
$1,125 Upcoming Trading Holiday, Friday 3 July 2020 29 Jun 2020 9:39AM $36.030 $61.140 risen by 69.69%
$1,125 Distribution Dates 23 Jun 2020 9:44AM $35.980 $61.140 risen by 69.93%
$1,125 Number of Outstanding iShares Units 2 Jun 2020 9:21AM $35.920 $61.140 risen by 70.21%
$1,125 Upcoming Trading Holiday, Monday 25 May 2020 21 May 2020 9:57AM $35.560 $61.140 risen by 71.93%
$1,125 Number of Outstanding iShares Units 4 May 2020 4:34PM $34.600 $61.140 risen by 76.71%
$1,125 Number of Outstanding iShares Units 2 Apr 2020 4:15PM $32.900 $61.140 risen by 85.84%
$1,125 Condensed Financial Report Half Year Ended 31 December 2019 13 Mar 2020 10:37AM $31.000 $61.140 risen by 97.23%
$1,125 Indicative 2020 Fund Distributions Calendar 11 Mar 2020 3:36PM $34.830 $61.140 risen by 75.54%

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  • + Company announcements and prices are delayed by least 20 minutes. Prices are indicative only.

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