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Net Asset Value(s)

By LSE RNS

Date: Tuesday 30 Dec 2025







RNS Number : 1812N
Legal & General UCITS ETF PLC
30 December 2025
 












































































































































Funds



Date



ISIN code



Shares in Issue



Currency



Net Asset Value



NAV/per share Base



L&G Market Neutral Commodities UCITS ETF



29/12/2025



IE000IIHLZL0



3610000



USD



36685799.41



10.162



L&G FTSE 100 Leveraged (Daily 2x) UCITS ETF



29/12/2025



IE00B4QNJJ23



28108



GBP



15522996.09



552.263



L&G FTSE 100 Super Short Strategy (Daily 2x) UCITS ETF



29/12/2025



IE00B4QNK008



4298497



GBP



9672943.14



2.250



L&G DAX Daily 2x Long UCITS ETF



29/12/2025



IE00B4QNHH68



47912



EUR



32860350.09



685.848



L&G DAX Daily 2x Short UCITS ETF



29/12/2025



IE00B4QNHZ41



36601749



EUR



22194112.41



0.606



L&G Longer Dated All Commodities UCITS ETF



29/12/2025



IE00B4WPHX27



25878333



USD



686080142.48



26.512



L&G Multi-Strategy Enhanced Commodities UCITS ETF



29/12/2025



IE00BFXR6159



64233509



USD



963474759.54



15.000



L&G Multi-Strategy Enhanced Commodities USD Dist UCITS ETF



29/12/2025



IE000IYBMW97



4058036



USD



40592264.34



10.003



L&G Multi-Strategy Enhanced Commodities GBP Hedge Acc UCITS ETF



29/12/2025



IE00011CA799



65026217



GBP



712958464.94



10.964



L&G Multi-Strategy Enhanced Commodities GBP Hedge Dist UCITS ETF



29/12/2025



IE0004O92CM1



3551400



GBP



38390224.87



10.810



L&G Multi-Strategy Enhanced Commodities ex-Agriculture & Livestock USD ACC



29/12/2025



IE000MQ5XEW1



4941400



USD



58759602.39



11.891



L&G New Energy Commodities UCITS ETF



29/12/2025



IE000BLN64M9



1425006



USD



17997583.15



12.630



L&G All Commodities UCITS ETF



29/12/2025



IE00BF0BCP69



8817110



USD



142479180.31



16.159





 






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