• For Institutions

    • Corporate Services
    • Developers
  • Download
  • Help
  • About

    • Company Profile
    • License & Regulatory
    • Media coverage
longbridgelongbridge
longbridgelongbridge
Products
Pricing
Markets
Global Markets
Stock Screener
Information
Insights
News
Live
Academy
All
Options & Futures
Funds
IPO Subscription
Structured Products
Investment Wiki
Affiliate Program
Promotions
PortAI
EN
English
简体中文
繁體中文
繁體中文(廣東話)Posts & comments will be shown in Cantonese
Search...
Quote ListQuote List

Infrastructure Capital Bond Income ETF(BNDS.US)

Last Updated 19:00:00 ET
longbridge loading
News
Holdings
Overview
Company Encyclopedia
View More
name
Infrastructure Capital Bond Income ETF
BNDS.US
Shareholder
Ownership%OwnedShare ChgReport Date
No Data
News
View More

REG - HANetf II ICAV HANetf II YLDMAXDOF$ HANetf II YLDMAXDOF£ Hanetf Infra Pref. $ Hanetf Infra Pref. £ - Net Asset Value(s)

HANetf II ICAV has reported the Net Asset Values (NAV) for two of its ETFs as of January 28, 2026. The Infrastructure Capital Preferred Income UCITS ETF has an NAV of $4,550,471.72, with a NAV per share of $19.78, while the YieldMax Future of Defence Option Income UCITS ETF has an NAV of $4,135,556.41, with a NAV per share of $51.69. This information is provided by RNS, the news service of the London Stock Exchange.

London Stock Exchange·01/29/2026 02:05
US
ICAP
+0.14%
US
BNDS
-0.03%
US
IDGT
-0.01%
London Stock Exchange·01/29/2026 02:05
US
ICAP
+0.14%
US
BNDS
-0.03%
US
IDGT
-0.01%
© 2026 Longbridge|Disclaimer

Schedules & Filings

Schedules
Filings
Jan30
Distribution Plan(EST)

Cash dividend 0.34 USD

Jan29
Distribution Plan(EST)

Cash dividend 0.34 USD

Distribution Plan(EST)

Cash dividend 0.34 USD

View More