2025年12月22日发布的《Amundi UCITS ETFs的NAV》涵盖多个全球市场和资产类别。
Amundi UCITS ETFs' NAVs released Dec. 22, 2025, covering multiple global markets and asset classes.
截至2025年12月22日,一些Amundi UCITS交易所交易基金的净资产价值(NAVs)已经发行,包括侧重于Russell 2000、新兴市场、美国国债、联合王国政府债券、全球综合债券和与通货膨胀挂钩的证券的资金。
As of December 22, 2025, the net asset values (NAVs) for several Amundi UCITS exchange-traded funds were released, including funds focused on the Russell 2000, emerging markets, U.S. Treasury bonds, UK government bonds, global aggregate bonds, and inflation-linked securities.
这些资金涵盖不同区域、资产类别和战略,包括环境、社会和公司治理以及套用货币的备选方案。
The funds cover various regions, asset classes, and strategies, including ESG and currency-hedged options.
报告未列入具体的NAV数字。
Specific NAV figures were not included in the report.