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iShares Global Healthcare ETF (ASX: IXJ) - Announcements

Current share price for IXJ : $133.130 0.07 (0.05%)+

iShares Global Healthcare ETF (IXJ) 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 Healthcare ETF (IXJ, formerly iShares Global Healthcare) is an exchange traded fund seeking to provide investment results that correspond to the price and yield performance of the healthcare sector of the economy and important to global markets, as represented by the S&P 1200 Global Healthcare Sector Index (the Underlying Index). The responsible entity of the fund is BlackRock Fund Advisors.

InvestSMART's Custom Portfolios allows you to invest in iShares Global Healthcare ETF (ASX: IXJ). Find out more.

Latest company announcements for iShares Global Healthcare ETF (IXJ)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$1,331 QUARTERLY EXIT STATEMENTS 13 Mar 2026 6:36PM $133.130 $133.130 fallen by 0%
$1,331 INTERIM FINANCIAL REPORT FOR THE HALF YEAR ENDED 31 DECEMBER 9 Mar 2026 5:42PM $133.390 $133.130 fallen by 0.19%
$1,331 PRODUCT DISCLOSURE STATEMENT 4 Mar 2026 8:51AM $139.000 $133.130 fallen by 4.22%
$1,331 MONTHLY APPLICATIONS, REDEMPTIONS, UNITS ON ISSUE AND DERIVA 3 Mar 2026 6:54PM $139.000 $133.130 fallen by 4.22%
$1,331 INDICATIVE 2026 FUND DISTRIBUTIONS CALENDAR 26 Feb 2026 6:45PM $140.090 $133.130 fallen by 4.97%
$1,331 MONTHLY APPLICATIONS,REDEMPTIONS,UNITS ON ISSUE,DERIVATIVES 5 Feb 2026 6:49PM $140.920 $133.130 fallen by 5.53%
$1,331 CORRECTION TO UNITS ON ISSUE DECEBER 2025 28 Jan 2026 6:11PM $141.020 $133.130 fallen by 5.59%
$1,331 MONTHLY APPLICATIONS, REDEMPTIONS, UNITS ON ISSUE AND DERIVA 6 Jan 2026 6:14PM $143.570 $133.130 fallen by 7.27%
$1,331 COMPONENTS OF DISTRIBUTIONS 2 Jan 2026 8:32AM $144.750 $133.130 fallen by 8.03%
$1,331 FINAL DISTRIBUTION ANNOUNCEMENT 29 Dec 2025 6:26PM $144.440 $133.130 fallen by 7.83%
$1,331 DISTRIBUTION REINVESTMENT PLAN PRICES 29 Dec 2025 6:22PM $144.440 $133.130 fallen by 7.83%
$1,331 ESTIMATED DISTRIBUTION 23 Dec 2025 8:34PM $145.500 $133.130 fallen by 8.50%
$1,331 DISTRIBUTION DATES 16 Dec 2025 6:29PM $146.070 $133.130 fallen by 8.86%
$1,331 APPLICATIONS, REDEMPTIONS, UNITS ON ISSUE AND DERIVATIVES 5 Dec 2025 7:23PM $144.750 $133.130 fallen by 8.03%
$1,331 QUARTERLY EXIT STATEMENT 24 Nov 2025 6:30PM $148.300 $133.130 fallen by 10.23%
$1,331 Annual periodic statement 12 Nov 2025 6:32PM $144.140 $133.130 fallen by 7.64%
$1,331 NUMBER OF OUTSTANDING UNITS AND FUND FLOWS 6 Nov 2025 6:50PM $139.260 $133.130 fallen by 4.40%
$1,331 NUMBER OF OUTSTANDING UNITS AND FUND FLOWS 3 Oct 2025 5:15PM $137.530 $133.130 fallen by 3.20%
$1,331 PRODUCT DISCLOSURE STATEMET 30 Sep 2025 8:34AM $130.050 $133.130 risen by 2.37%
$1,331 ANNUAL FINANCIAL REPORT 30 JUNE 2025 25 Sep 2025 4:37PM $130.790 $133.130 risen by 1.79%
$1,331 SUPPLEMENTARY PRODUCT DISCLOSURE STATEMENT 18 Sep 2025 8:26AM $129.680 $133.130 risen by 2.66%
$1,331 NUMBER OF OUTSTANDING UNITS AND FUND FLOWS 4 Sep 2025 4:55PM $133.000 $133.130 risen by 0.10%
$1,331 PRODUCT DISCLOSURE STATEMENT 27 Aug 2025 8:55AM $132.930 $133.130 risen by 0.15%
$1,331 NUMBER OF OUTSTANDING UNITS AND FUND FLOWS 5 Aug 2025 6:25PM $129.400 $133.130 risen by 2.88%
$1,331 Quarterly exit statement 1 Aug 2025 4:39PM $127.500 $133.130 risen by 4.42%

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

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