
REG - Mirae Asset ETF ICAV - Global X ETF ICAV 20.02.26

Global X ETFs ICAV has announced the unaudited net asset values (NAV) for various UCITS ETFs as of February 20, 2026. The NAV per share for the USD Acc Class and Dist Class of several funds are as follows: Video Games & Esports: 13.1877 (Acc), 12.9309 (Dist); Telemedicine & Digital Health: 8.2236 (Acc), 7.9036 (Dist); CleanTech: 8.9067; E-Commerce: 13.6608; Data Center REITS: 23.0693; Autonomous & Electric Vehicles: 16.3878 (Acc), 15.7363 (Dist); Cybersecurity: 11.3265; Robotics & AI: 25.6336 (Acc), 25.4427 (Dist); Fintech: 7.468 (Acc), 7.4408 (Dist); Genomics & Biotechnology: 8.3724; U.S. Infrastructure: 52.0058 (Acc), 50.9257 (Dist); Lithium & Battery Tech: 13.0344; Internet of Things: NAV not fully provided.
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