NAV split for Amundi ETF Leveraged MSCI USA Daily UCITS ETF
We hereby inform you of the NAV split of the Amundi ETF Leveraged MSCI USA Daily UCITS ETF with effect from 10/10/2023. As a result of this split, an investor holding one unit of the Fund before the NAV split will hold three hundred units of the Fund after the NAV split with a net asset value divided by three hundred. As an indication, the net asset value after the operation is 13.64 euros*. This operation aims to make the ETF accessible to as many investors as possible.
The NAV split is accompanied by an increase in pricing from 0.35% to 0.50% which is deemed necessary to better reflect the costs linked to the management of the fund and the increase in its listing fees.
Read the notice to shareholders in the Document library.
* NAV as of October 10th, 2023