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Global X Ultra Short Nasdaq 100 Hedge Fund (ASX: SNAS) - Announcements

Current share price for SNAS : $17.680 0.25 (1.39%)+

Global X Ultra Short Nasdaq 100 Hedge Fund (SNAS) 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. Global X Ultra Short Nasdaq 100 Hedge Fund (SNAS, formerly ETFS Ultra Short Nasdaq 100 Hedge Fund) is an exchange traded managed fund that aims to provide investors with geared returns that are negatively related to the returns of the Nasdaq-100 Index by investing primarily in a portfolio of short E-mini Nasdaq-100 Futures contracts listed on the Chicago Mercantile Exchange.

Latest company announcements for Global X Ultra Short Nasdaq 100 Hedge Fund (SNAS)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$58 Global X Units on Issue April 2023 5 May 2023 9:45AM $3.580 $17.680 risen by 393.85%
$58 Global X Units on Issue March 2023 5 Apr 2023 9:24AM $3.530 $17.680 risen by 400.85%
$58 SNAS Half Year Accounts 15 Mar 2023 11:06AM $4.200 $17.680 risen by 320.95%
$58 Global X Units on Issue February 2023 6 Mar 2023 2:13PM $4.070 $17.680 risen by 334.40%
$58 Global X Units on Issue January 2023 2 Feb 2023 11:30AM $4.010 $17.680 risen by 340.90%
$58 Global X Units on Issue December 2022 4 Jan 2023 11:44AM $5.600 $17.680 risen by 215.71%
$58 Global X Units on Issue November 2022 1 Dec 2022 3:49PM $4.480 $17.680 risen by 294.64%
$58 Global X Units on Issue October 2022 7 Nov 2022 5:28PM $5.850 $17.680 risen by 202.22%
$58 Global X Units on Issue September 2022 4 Oct 2022 4:22PM $5.340 $17.680 risen by 231.09%
$58 SNAS Annual Financial Report 29 Sep 2022 1:16PM $5.260 $17.680 risen by 236.12%
$58 Change of Company Name 16 Sep 2022 2:04PM $4.930 $17.680 risen by 258.62%
$58 Replacement PDS dated 16 September 2022 16 Sep 2022 1:37PM $4.920 $17.680 risen by 259.35%
$58 ETFS Units on Issue August 2022 5 Sep 2022 12:35PM $4.670 $17.680 risen by 278.59%
$58 ETFS Units on Issue July 2022 2 Aug 2022 6:59PM $4.100 $17.680 risen by 331.22%
$58 Update - Dividend/Distribution 1 Jul 2022 6:50PM $5.620 $17.680 risen by 214.59%
$58 ETFS Units on Issue June 2022 1 Jul 2022 6:01PM $5.620 $17.680 risen by 214.59%
$58 Updated Estimated Distribution Announcement - Jun 2022 30 Jun 2022 9:52AM $5.300 $17.680 risen by 233.58%
$58 Estimated Distribution Announcement - June 2022 24 Jun 2022 5:11PM $5.200 $17.680 risen by 240%
$58 Change of ownership and control of responsible entity 15 Jun 2022 12:21PM $5.710 $17.680 risen by 209.63%
$58 ETFS Units on Issue May 2022 3 Jun 2022 11:34AM $4.380 $17.680 risen by 303.65%
$58 Replacement PDS dated 9 May 2022 9 May 2022 8:49AM $4.660 $17.680 risen by 279.40%
$58 ETFS Units on Issue April 2022 2 May 2022 6:01PM $4.600 $17.680 risen by 284.35%
$58 ETFS Units on Issue March 2022 1 Apr 2022 4:15PM $3.360 $17.680 risen by 426.19%
$58 SNAS Half Year Accounts 16 Mar 2022 9:01AM $4.640 $17.680 risen by 281.03%
$58 ETFS Units on Issue February 2022 1 Mar 2022 10:26AM $3.920 $17.680 risen by 351.02%

51 - 75 of 91 results

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

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