---
title: "REG - UBS Irish ETFS - Net Asset Value(s)"
type: "News"
locale: "en"
url: "https://longbridge.com/en/news/276622496.md"
description: "UBS Irish ETFs announced the net asset values (NAV) for several funds as of February 19, 2026. The NAV per share for the CMCI Composite S F UCITS ETF (GBP) is 154.1555, and for the USD version, it is 120.4021. Other funds listed include CMCI ex-Agriculture SF UCITS ETF (USD) at 264.2843, Bloomberg Commodity CMCI SF UCITS ETF (GBP) at 17.161, and MSCI China A SF UCITS ETF (USD) at 169.5839. The announcement includes details on the number of shares in issue for each fund."
datetime: "2026-02-23T15:59:31.000Z"
locales:
  - [zh-CN](https://longbridge.com/zh-CN/news/276622496.md)
  - [en](https://longbridge.com/en/news/276622496.md)
  - [zh-HK](https://longbridge.com/zh-HK/news/276622496.md)
---

# REG - UBS Irish ETFS - Net Asset Value(s)

RNS Number : 0580U UBS Irish ETFS 23 February 2026

FUND:

UBS ETFs plc - CMCI Composite S F UCITS ETF (GBP) A-acc

ISIN CODE:

IE00B50XJX92

DEALING DATE:

19/02/2026

NAV PER SHARE:

154.1555

BASE CURRENCY:

GBP

NUMBER OF SHARES IN ISSUE:

72354

FUND:

UBS ETFs plc - CMCI Composite SF UCITS ETF (USD) A-acc

ISIN CODE:

IE00B53H0131

DEALING DATE:

19/02/2026

NAV PER SHARE:

120.4021

BASE CURRENCY:

USD

NUMBER OF SHARES IN ISSUE:

10301200

FUND:

UBS ETFs plc - CMCI ex-Agriculture SF UCITS ETF (USD) A-acc

ISIN CODE:

IE00BZ2GV965

DEALING DATE:

19/02/2026

NAV PER SHARE:

264.2843

BASE CURRENCY:

USD

NUMBER OF SHARES IN ISSUE:

645178

FUND:

UBS ETFs plc - CMCI ex-Agriculture SF UCITS ETF (GBP) A-acc

ISIN CODE:

IE00BYT5CX00

DEALING DATE:

19/02/2026

NAV PER SHARE:

176.8769

BASE CURRENCY:

GBP

NUMBER OF SHARES IN ISSUE:

9500

FUND:

UBS ETFs plc - Bloomberg Commodity CMCI SF UCITS ETF (GBP) HEDGED A-acc

ISIN CODE:

IE00BF0V4615

DEALING DATE:

19/02/2026

NAV PER SHARE:

17.161

BASE CURRENCY:

GBP

NUMBER OF SHARES IN ISSUE:

4693335

FUND:

UBS ETFs plc - CMCI Commodity Carry SF UCITS ETF (USD) A-acc

ISIN CODE:

IE00BKFB6L02

DEALING DATE:

19/02/2026

NAV PER SHARE:

159.4562

BASE CURRENCY:

USD

NUMBER OF SHARES IN ISSUE:

1443501

FUND:

UBS ETFs plc - MSCI China A SF UCITS ETF (USD) A-acc

ISIN CODE:

IE00BKFB6K94

DEALING DATE:

19/02/2026

NAV PER SHARE:

169.5839

BASE CURRENCY:

USD

NUMBER OF SHARES IN ISSUE:

906173

FUND:

UBS ETFs plc - CMCI Commodity Transition SF UCITS ETF (USD) A-acc

ISIN CODE:

IE000WJCYGB4

DEALING DATE:

19/02/2026

NAV PER SHARE:

120.9316

BASE CURRENCY:

USD

NUMBER OF SHARES IN ISSUE:

28742

FUND:

UBS USD Overnight Rate SF UCITS ETF

ISIN CODE:

IE000QVOGR82

DEALING DATE:

19/02/2026

NAV PER SHARE:

5.1714

BASE CURRENCY:

USD

NUMBER OF SHARES IN ISSUE:

2308854

FUND:

UBS GBP Overnight Rate SF UCITS ETF

ISIN CODE:

IE000WNEYKM1

DEALING DATE:

19/02/2026

NAV PER SHARE:

5.1655

BASE CURRENCY:

GBP

NUMBER OF SHARES IN ISSUE:

760292

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