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par Amundi Asset Management

Amundi Asset Management: Liquidation on Amundi ETFs

Amundi Asset Management (CUK,CLEU)
Amundi Asset Management: Liquidation on Amundi ETFs

31-Jan-2024 / 17:50 CET/CEST


AMUNDI ETF –  Important Information – Liquidation on Amundi ETFs 07/03/2024

             

           

Please note that on NAV 07/03/2024 after close, the ETFs below will be liquidated :

             

           

ISIN

ETF Name

LU2182388822

Amundi US Treasury Bond 0-1Y UCITS ETF MXN Hedged Acc

LU2109786744

Amundi MSCI Europe ESG Universal Select UCITS ETF DR (C)

LU2109786660

Amundi MSCI USA ESG Universal Select UCITS ETF DR (C)

LU2182388319

Amundi MSCI Europe Climate Paris Aligned PAB UCITS ETF DR (C)

FR0011869338

Lyxor PEA Corée (MSCI Korea) UCITS ETF - Capi.

FR0010655761

Amundi ETF MSCI UK UCITS ETF

LU1834988195

Lyxor STOXX Europe 600 Media UCITS ETF - Acc

LU2082995734

Lyxor STOXX Europe 600 Media UCITS ETF - Dist

LU1834988435

Lyxor STOXX Europe 600 Retail UCITS ETF - Acc

LU2082998670

Lyxor STOXX Europe 600 Retail UCITS ETF - Dist

LU2056738490

Lyxor MSCI Europe ESG Climate Transition CTB (DR) UCITS ETF - Acc

 

         Impact on Primary Market :

 

The last tradable NAV on the primary market and last order placing date and cut-off for the below ETFs is described in the below table :

 

ISIN

Ticker

ETF Name

Last Order Placing date

Cutt off

Last Tradable NAV

FR0010655761

CUK LN

Amundi ETF MSCI UK UCITS ETF

29/02/2024

4:20pm CET

29/02/2024

 

 

         Impact on Secondary Market :

 

The suspension of secondary markets for the below ETFs is described in the below table :

 

ETF Name

ISIN

Ticker

Trading Currency

Last Trading date (after the close)

Amundi ETF MSCI UK UCITS ETF

FR0010655761

CUK LN

GBX

27/02/2024

Lyxor MSCI Europe ESG Climate Transition CTB (DR) UCITS ETF - Acc

LU2056738490

CLEU LN

USD

28/02/2024

 

         Timetable of the liquidation :

 

Event

Date

Last trading day on Stock Exchanges

27/02/2024

28/02/2024

Last Tradable NAV on the Primary Market

29/02/2024

Liquidation NAV

07/03/2024

Final Net Asset Value Calculation date

08/03/2024

 

 

 



Dissemination of a Regulatory Announcement, transmitted by EQS Group.
The issuer is solely responsible for the content of this announcement.


ISIN:FR0010655761, LU2056738490
Category Code:MSCH
TIDM:CUK,CLEU
LEI Code:DQ2T0MMUTO0IPF9G9Z35
Sequence No.:300920
EQS News ID:1827413

 
End of AnnouncementEQS News Service

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