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Global X Ultra Long Nasdaq 100 Hedge Fund (ASX: LNAS) - Announcements

- Current share price for LNAS : $17.780

Global X Ultra Long Nasdaq 100 Hedge Fund (LNAS) 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. Global X Ultra Long Nasdaq 100 Complex ETF (LNAS) is a fund that aims to provide investors returns that are related to the returns of the Nasdaq-100 Index by investing in a portfolio of long E-mini-Nasdaq-100 futures contracts listed on the Chicago Mercantile Exchange.

Latest company announcements for Global X Ultra Long Nasdaq 100 Hedge Fund (LNAS)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$95 Change of Company Name 16 Sep 2022 2:04PM $5.690 $17.780 risen by 212.48%
$95 ETFS Units on Issue August 2022 5 Sep 2022 12:35PM $6.030 $17.780 risen by 194.86%
$95 ETFS Units on Issue July 2022 2 Aug 2022 6:59PM $7.130 $17.780 risen by 149.37%
$95 Update - Dividend/Distribution 1 Jul 2022 6:50PM $5.410 $17.780 risen by 228.65%
$95 ETFS Units on Issue June 2022 1 Jul 2022 6:01PM $5.410 $17.780 risen by 228.65%
$95 Updated Estimated Distribution Announcement - Jun 2022 30 Jun 2022 9:52AM $5.810 $17.780 risen by 206.02%
$95 Estimated Distribution Announcement - June 2022 24 Jun 2022 5:11PM $5.990 $17.780 risen by 196.83%
$95 Change of ownership and control of responsible entity 15 Jun 2022 12:21PM $5.510 $17.780 risen by 222.69%
$95 ETFS Units on Issue May 2022 3 Jun 2022 11:34AM $7.530 $17.780 risen by 136.12%
$95 Replacement PDS dated 9 May 2022 9 May 2022 8:49AM $7.700 $17.780 risen by 130.91%
$95 ETFS Units on Issue April 2022 2 May 2022 6:01PM $7.780 $17.780 risen by 128.53%
$95 ETFS Units on Issue March 2022 1 Apr 2022 4:15PM $11.220 $17.780 risen by 58.47%
$95 LNAS Half Year Accounts 16 Mar 2022 8:54AM $8.340 $17.780 risen by 113.19%
$95 ETFS Units on Issue February 2022 1 Mar 2022 10:26AM $10.130 $17.780 risen by 75.52%
$95 ETFS Units on Issue January 2022 1 Feb 2022 5:01PM $11.420 $17.780 risen by 55.69%
$95 ETFS Units on Issue December 2021 5 Jan 2022 8:34AM $14.790 $17.780 risen by 20.22%
$95 ETFS Units on Issue November 2021 1 Dec 2021 7:54PM $14.510 $17.780 risen by 22.54%
$95 ETFS Units on Issue October 2021 2 Nov 2021 11:06AM $13.550 $17.780 risen by 31.22%
$95 LNAS Annual Financial Report 4 Oct 2021 11:51AM $11.610 $17.780 risen by 53.14%
$95 ETFS Units on Issue September 2021 1 Oct 2021 8:27AM $11.750 $17.780 risen by 51.32%
$95 ETFS Units on Issue August 2021 1 Sep 2021 12:45PM $13.180 $17.780 risen by 34.90%
$95 ETFS Units on Issue Jul 2021 2 Aug 2021 12:27PM $12.080 $17.780 risen by 47.19%
$95 ETFS Units on Issue Jun 2021 2 Jul 2021 8:19AM $11.310 $17.780 risen by 57.21%
$95 Update - Dividend/Distribution - LNAS 1 Jul 2021 6:45PM $11.310 $17.780 risen by 57.21%
$95 Update - Dividend/Distribution - LNAS 30 Jun 2021 8:18AM $17.910 $17.780 fallen by 0.73%

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

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