2026年1月12日, Amundi UCITS ETF 报告了全球股票、债券和行业的NAV。
On January 12, 2026, Amundi UCITS ETFs reported NAVs across global equities, bonds, and sectors.
2026年1月12日,报告了一系列Amundi UCITS交易所交易基金的净资产价值(NAVs),包括跟踪全球股票指数、美国国债、新能源部门以及欧洲、美国和新兴经济体等区域市场的资金。
On January 12, 2026, the net asset values (NAVs) were reported for a range of Amundi UCITS exchange-traded funds, including those tracking global equity indices, U.S. Treasury bonds, new energy sectors, and regional markets such as Europe, the U.S., and emerging economies.
资金以各种货币隐藏和积累/分配分成类别提供。
The funds are available in various currency-hedged and accumulation/distribution share classes.