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Deutsche Asset Wealth Management Announces Revised Net Asset Value Information for Various US Listed ETFs

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NEW YORK--(BUSINESS WIRE)--Deutsche Asset & Wealth Management (Deutsche AWM) announced that it will adjust the net asset value (NAV) of the below exchange traded funds (ETFs) effective as Monday August 24, 2015: ETF Name   Ticker   Originally Published NAV Per Share ($)   Adjusted NAV Per Share ($)   Difference Deutsche X-trackers High Yield Corporate Bond—Interest Rate Hedged ETF HYIH 22.97 22.70 -0.27 Deutsche X-trackers Emerging Markets Bond—Interest Rate Hedged ETF EMIH 23.79 23.50 -0.3

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