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iShares Global Consumer Staples ETF (ASX: IXI) - Announcements

Current share price for IXI : $95.510 0.55 (0.58%)+

iShares Global Consumer Staples ETF (IXI) 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 Global Consumer Staples ETF (IXI, formerly iShares S&P Global Consumer Staples) is an exchange traded fund seeking to provide investment results that correspond to the price and yield performance of Standard & Poor's deems part of the consumer staples sector of the economy and important to global markets, as represented by S&P Global 1200 Consumer Staples Sector Index (the Underlying Index). The fund is managed by BlackRock Fund Advisors.

Latest company announcements for iShares Global Consumer Staples ETF (IXI)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$145 Net Tangible Asset Backing 11 May 2017 8:30AM n/a $95.510 n/a
$145 Net Tangible Asset Backing 4 May 2017 8:32AM $134.320 $95.510 fallen by 28.89%
$145 Units on issue 2 May 2017 4:10PM $133.990 $95.510 fallen by 28.72%
$145 Net Tangible Asset Backing 27 Apr 2017 10:05AM $135.200 $95.510 fallen by 29.36%
$145 Net Tangible Asset Backing 20 Apr 2017 8:41AM $133.900 $95.510 fallen by 28.67%
$145 Net Tangible Asset Backing 13 Apr 2017 9:00AM $133.120 $95.510 fallen by 28.25%
$145 Net Tangible Asset Backing 6 Apr 2017 9:07AM $130.710 $95.510 fallen by 26.93%
$145 Units on issue 4 Apr 2017 4:21PM $130.690 $95.510 fallen by 26.92%
$145 Net Tangible Asset Backing 30 Mar 2017 9:09AM $130.370 $95.510 fallen by 26.74%
$145 Net Tangible Asset Backing 23 Mar 2017 9:47AM $129.840 $95.510 fallen by 26.44%
$145 Indicative 2017 Fund Distributions Calendar 16 Mar 2017 5:11PM $129.080 $95.510 fallen by 26.01%
$145 Net Tangible Asset Backing 16 Mar 2017 10:49AM $128.600 $95.510 fallen by 25.73%
$145 Net Tangible Asset Backing 9 Mar 2017 10:06AM $128.450 $95.510 fallen by 25.64%
$145 Units on issue 3 Mar 2017 4:59PM $129.400 $95.510 fallen by 26.19%
$145 Fund Quarterly Portfolio Holdings - As Of 31 Dec 2016 2 Mar 2017 4:25PM $128.380 $95.510 fallen by 25.60%
$145 Net Tangible Asset Backing 2 Mar 2017 11:15AM $128.460 $95.510 fallen by 25.65%
$145 Net Tangible Asset Backing 23 Feb 2017 10:59AM $127.000 $95.510 fallen by 24.80%
$145 Net Tangible Asset Backing 16 Feb 2017 10:28AM $124.480 $95.510 fallen by 23.27%
$145 Net Tangible Asset Backing 9 Feb 2017 10:12AM $124.700 $95.510 fallen by 23.41%
$145 Units on issue 6 Feb 2017 5:35PM $123.250 $95.510 fallen by 22.51%
$145 Net Tangible Asset Backing 2 Feb 2017 10:15AM $124.390 $95.510 fallen by 23.22%
$145 Net Tangible Asset Backing 27 Jan 2017 8:19AM $125.140 $95.510 fallen by 23.68%
$145 DISTRIBUTION FOREIGN EXCHANGE RATE ANNOUNCEMENT 19 Jan 2017 5:20PM $124.000 $95.510 fallen by 22.98%
$145 Net Tangible Asset Backing 19 Jan 2017 10:42AM $123.720 $95.510 fallen by 22.80%
$145 Net Tangible Asset Backing 12 Jan 2017 10:30AM $123.790 $95.510 fallen by 22.85%

351 - 375 of 491 results

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

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