Company Announcements


  Valuation     Name          ISIN         Currency   Units         NAV per Unit
Date

   2026/05/26    NT LSTD                    USD                      29.9801
              PRV EQ UCITS  IE0008ZGI5C1            10760622.0000

                 WHD DJ ISL
   2026/05/26 WD ETF USD    IE00073MUWT4    USD     4467426.0000     11.6797
              ACC

                 WHD SP 500
   2026/05/26 SHR ETF USD   IE000QF8TEK7    USD     8865000.0000     11.0555
              AC

   2026/05/26    USD ACC                    USD        70000.0000    10.4219
              UCITS ETF     IE000DHZXD61

   2026/05/26    USD DIST                   USD        70000.0000    10.4219
              UCITS ETF     IE000ZDPZL69