Company Announcements


   Valuation     Name           ISIN         Currency    Units          NAV per
Date                                                                 Unit

   2026/06/09    NT LSTD PRV                 USD                        29.128
              EQ UCITS       IE0008ZGI5C1             11068222.0000

   2026/06/09    WHD DJ ISL                  USD                        11.8359
              WD ETF USD ACC IE00073MUWT4             4592994.0000

   2026/06/09    WHD SP 500                  USD                        10.7928
              SHR ETF USD AC IE000QF8TEK7             9065000.0000

   2026/06/09    USD ACC                     USD         130000.0000    10.2745
              UCITS ETF      IE000DHZXD61

   2026/06/09    USD DIST                    USD         70000.0000     10.1562
              UCITS ETF      IE000ZDPZL69