<?xml version="1.0" encoding="UTF-8"?>
<rss version="2.0" xmlns:atom="http://www.w3.org/2005/Atom">
<channel>
<title>Ishares Msci Taiwan Ucits Etf Usd (dist) Usd — News on 6ix</title>
<link>https://6ix.com/company/ishares-msci-taiwan-ucits-etf-usd-dist-usd</link>
<description>Latest news and press releases for Ishares Msci Taiwan Ucits Etf Usd (dist) Usd on 6ix.</description>
<language>en-us</language>
<lastBuildDate>Fri, 27 Mar 2026 07:10:00 GMT</lastBuildDate>
<generator>6ix RSS</generator>
<atom:link href="https://6ix.com/rss/company/ishares-msci-taiwan-ucits-etf-usd-dist-usd" rel="self" type="application/rss+xml" />
<item>
<title>Net Asset Value(s)</title>
<link>https://6ix.com/company/ishares-msci-taiwan-ucits-etf-usd-dist-usd/news/net-asset-values-507</link>
<guid isPermaLink="true">https://6ix.com/company/ishares-msci-taiwan-ucits-etf-usd-dist-usd/news/net-asset-values-507</guid>
<pubDate>Fri, 27 Mar 2026 07:10:00 GMT</pubDate>
<description>Net Asset Value(s).</description>
</item>
<item>
<title>Dividend Declaration</title>
<link>https://6ix.com/company/ishares-msci-taiwan-ucits-etf-usd-dist-usd/news/dividend-declaration-137</link>
<guid isPermaLink="true">https://6ix.com/company/ishares-msci-taiwan-ucits-etf-usd-dist-usd/news/dividend-declaration-137</guid>
<pubDate>Thu, 04 Sep 2025 06:00:00 GMT</pubDate>
<description>iShares PLC announced an interim distribution for the current financial year. The announcement date is September 4, 2025, with an ex-date of September 11, 2025, and a record date of September 12, 2025. The payment date is scheduled for September 24, 2025. The distribution rate for iShares MSCI Taiwan UCITS ETF USD (Dist), with ISIN IE00B0M63623, is $1.8013 per share. The fund's currency is USD.
Disclaimer*</description>
</item>
<item>
<title>Net Asset Value</title>
<link>https://6ix.com/company/ishares-msci-taiwan-ucits-etf-usd-dist-usd/news/net-asset-value-72</link>
<guid isPermaLink="true">https://6ix.com/company/ishares-msci-taiwan-ucits-etf-usd-dist-usd/news/net-asset-value-72</guid>
<pubDate>Fri, 11 Apr 2025 06:10:00 GMT</pubDate>
<description>Net Asset Value.</description>
</item>
</channel>
</rss>