REG - HSBC Glbl. Liquidity - Net Asset Value(s)

London Stock Exchange
2025.12.29 07:41
portai
I'm PortAI, I can summarize articles.

HSBC Global Liquidity Funds PLC announced the net asset value (NAV) for its Sterling Liquidity UCITS ETF (acc) as of December 24, 2025. The NAV is reported at £401,534.45, with a NAV per share of £200.767225. The information is provided by RNS, the news service of the London Stock Exchange, which is approved by the Financial Conduct Authority.