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VanEck S&P/ASX MidCap ETF (ASX: MVE) - Announcements

Current share price for MVE : $41.410 0.29 (0.71%)+

VanEck S&P/ASX MidCap ETF (MVE) 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. VanEck S&P/ASX MidCap ETF (MVE, formerly VanEck Vectors S&P/ASX MidCap ETF) is an exchange-traded fund managed by VanEck Investments Limited. MVE invests in a diversified portfolio of ASX-listed securities with the aim of providing investment returns (before management costs) that closely track the returns of the S&P/ASX Midcap 50 Index.

Latest company announcements for VanEck S&P/ASX MidCap ETF (MVE)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$332 Number of Outstanding Units as at 31 October 2020 4 Nov 2020 11:23AM $31.100 $41.410 risen by 33.15%
$332 Number of Outstanding Units 6 Oct 2020 9:49AM $29.010 $41.410 risen by 42.74%
$332 Annual Report 25 Sep 2020 2:14PM $28.450 $41.410 risen by 45.55%
$332 Number of Units Outstanding as at 31 August 2020 1 Sep 2020 1:45PM $28.820 $41.410 risen by 43.68%
$332 Number of Outstanding Units as at 31 July 2020 6 Aug 2020 3:33PM $28.060 $41.410 risen by 47.58%
$332 Dividend component details 15 Jul 2020 10:20AM $27.300 $41.410 risen by 51.68%
$332 Number of Units Outstanding as at 30 June 2020 3 Jul 2020 2:16PM $27.780 $41.410 risen by 49.06%
$332 DRP prices for period ending 30 June 2020 1 Jul 2020 3:48PM $27.410 $41.410 risen by 51.08%
$332 Dividend/Distribution for period ending 30 June 2020 30 Jun 2020 10:52AM $26.730 $41.410 risen by 54.92%
$332 Dividend timetable for period ending 30 June 2020 24 Jun 2020 4:39PM $27.820 $41.410 risen by 48.85%
$332 Number of Issued Units as at 31 May 2020 1 Jun 2020 3:31PM $26.400 $41.410 risen by 56.86%
$332 Number of Issued Units as at 30 April 2020 1 May 2020 11:27AM $23.700 $41.410 risen by 74.73%
$332 Number of Issued Units as at 31 March 2020 1 Apr 2020 1:24PM $21.520 $41.410 risen by 92.43%
$332 Half Year Accounts for half-year ended 31-Dec-19 11 Mar 2020 11:56AM $25.100 $41.410 risen by 64.98%
$332 Indicative dividends calendar for 2020 - UPDATED 5 Mar 2020 4:19PM $27.440 $41.410 risen by 50.91%
$332 Number of Issued Units as at 29 February 2020 2 Mar 2020 10:58AM $27.260 $41.410 risen by 51.91%
$332 Indicative dividends calendar for 2020 25 Feb 2020 8:36AM $29.840 $41.410 risen by 38.77%
$332 Number of Issued Units as at 31 January 2020 3 Feb 2020 2:11PM $29.730 $41.410 risen by 39.29%
$332 Dividend component details 8 Jan 2020 3:44PM $29.455 $41.410 risen by 40.59%
$332 DRP prices for period ending 31 December 2019 2 Jan 2020 2:52PM $29.090 $41.410 risen by 42.35%
$332 Number of Issued Units as at 31 December 2019 2 Jan 2020 12:05PM $29.020 $41.410 risen by 42.69%
$332 Dividend/Distribution for period ending 31 December 2019 24 Dec 2019 2:27PM $29.830 $41.410 risen by 38.82%
$332 Number of Issued Units as at 30 November 2019 2 Dec 2019 10:56AM $29.940 $41.410 risen by 38.31%
$332 Number of Issued Units as at 31 October 2019 1 Nov 2019 2:47PM $28.690 $41.410 risen by 44.34%
$332 Number of Issued Units as at 30 September 2019 1 Oct 2019 3:12PM $28.950 $41.410 risen by 43.04%

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

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