The article reports a fund valuation update for NT LSTD PRV EQ UCITS, showing a NAV per unit of EUR 25.5084 as of 2026/04/16 on 10,717,622 units. This is routine factual disclosure with no accompanying news catalyst, performance commentary, or broader market implications.
The article reports a fund valuation update for NT LSTD PRV EQ UCITS, showing a NAV per unit of EUR 25.5084 as of 2026/04/16 on 10,717,622 units. This is routine factual disclosure with no accompanying news catalyst, performance commentary, or broader market implications.
AI-powered research, real-time alerts, and portfolio analytics for institutional investors.
Request a DemoOverall Sentiment
neutral
Sentiment Score
0.00