REG - Invesco Markets II - Net Asset Value(s)

London Stock Exchange
2025.11.12 09:23
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Invesco Markets II PLC announced the net asset values (NAV) for its funds as of November 11, 2025. The NAV per share for the Invesco Variable Rate Preferred Shares UCITS ETF USD Dist Class is 40.366, while the USD Acc Class is 58.034. Additionally, the Invesco US Municipal Bond UCITS ETF Dist has an NAV of 32.637. This information is provided by RNS, the news service of the London Stock Exchange.

RNS Number : 2349H Invesco Markets II PLC 12 November 2025

Funds

Date

ISIN code

Shares in Issue

Currency

Net Asset Value

NAV/per share Base

Invesco Variable Rate Preferred Shares UCITS ETF USD Dist Class

11/11/2025

IE00BG21M733

366805

USD

14806519.81

40.366

Invesco Variable Rate Preferred Shares UCITS ETF USD Acc Class

11/11/2025

IE00BHJYDT11

110413

USD

6407687.15

58.034

Invesco US Municipal Bond UCITS ETF Dist

11/11/2025

IE00BNG70R26

1268565

USD

41402186.20

32.637

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