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VanEck MSCI Australian Sustainable Equity ETF (ASX: GRNV) - Announcements

Current share price for GRNV : $34.120 0.09 (0.26%)+

VanEck MSCI Australian Sustainable Equity ETF (GRNV) is an Exchange Traded Fund - commonly known as an ETF. For more details about how ETFs work, feel free to check out our What is an ETF? overview. VanEck MSCI Australian Sustainable Equity ETF (GRNV, formerly VanEck Vectors MSCI Australian Sustainable Equity ETF) is an exchange-traded fund managed by VanEck Investments Limited. GRNV invests in a diversified portfolio of sustainable Australian companies selected based on analysis by research agency MSCI ESG Research to provide investment returns (before management costs) that closely track the returns of the MSCI Australia IMI Select SRI Screened Index.

Latest company announcements for VanEck MSCI Australian Sustainable Equity ETF (GRNV)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$221 Number of Outstanding Units as at 30 June 2022 1 Jul 2022 3:57PM $24.360 $34.120 risen by 40.07%
$221 Dividend Reinvestment Plan Prices 1 Jul 2022 3:54PM $24.360 $34.120 risen by 40.07%
$221 Final Dividend/Distribution for period ending 30 June 2022 30 Jun 2022 8:34AM $24.780 $34.120 risen by 37.69%
$221 Dividend timetable 22 Jun 2022 9:24AM $24.220 $34.120 risen by 40.88%
$221 Number of Outstanding Units as at 31 May 2022 1 Jun 2022 2:57PM $26.610 $34.120 risen by 28.22%
$221 Number of Outstanding Units as at 30 April 2022 2 May 2022 1:00PM $27.670 $34.120 risen by 23.31%
$221 Number of Outstanding Units as at 31 March 2022 1 Apr 2022 4:24PM $27.990 $34.120 risen by 21.90%
$221 Half-Year Financial Report 15 Mar 2022 1:23PM $26.720 $34.120 risen by 27.69%
$221 Number of Outstanding Units as at 28 February 2022 1 Mar 2022 3:26PM $26.840 $34.120 risen by 27.12%
$221 Indicative dividends calendar for 2022 25 Feb 2022 5:15PM $26.500 $34.120 risen by 28.75%
$221 Number of Outstanding Units as at 31 January 2022 1 Feb 2022 3:01PM $26.660 $34.120 risen by 27.98%
$221 Dividend component details 11 Jan 2022 9:57AM $28.720 $34.120 risen by 18.80%
$221 Dividend Reinvestment Plan Prices 4 Jan 2022 3:10PM $29.620 $34.120 risen by 15.19%
$221 Number of Outstanding Units as at 31 December 2021 4 Jan 2022 10:50AM $29.410 $34.120 risen by 16.01%
$221 Final Dividend/Distribution for period ending 31 Dec 2021 31 Dec 2021 9:27AM $30.160 $34.120 risen by 13.13%
$221 Dividend timetable 22 Dec 2021 2:01PM $29.380 $34.120 risen by 16.13%
$221 Number of Outstanding Units as at 30 November 2021 1 Dec 2021 4:01PM $29.020 $34.120 risen by 17.57%
$221 Number of Outstanding Units as at 31 October 2021 2 Nov 2021 2:27PM $28.870 $34.120 risen by 18.18%
$221 Number of Outstanding Units as at 30 September 2021 1 Oct 2021 3:34PM $28.100 $34.120 risen by 21.42%
$221 Annual Report FYE 30 June 2021 27 Sep 2021 2:42PM $29.000 $34.120 risen by 17.66%
$221 Change to dividend payment frequency 8 Sep 2021 1:21PM $29.560 $34.120 risen by 15.43%
$221 Number of Outstanding Units as at 31 August 2021 1 Sep 2021 1:27PM $29.510 $34.120 risen by 15.62%
$221 Number of Outstanding Units as at 31 July 2021 4 Aug 2021 8:22AM $28.760 $34.120 risen by 18.64%
$221 Change of address and fund names 23 Jul 2021 10:07AM $28.290 $34.120 risen by 20.61%
$221 Dividend component details 15 Jul 2021 3:33PM $28.190 $34.120 risen by 21.04%

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  • + Company announcements and prices are delayed by least 20 minutes. Prices are indicative only.

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