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Tabula ICAV - Dividend Declaration

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[15/06/2022]

Tabula ICAV

Dividend Declaration

Final distribution for the period to 23rd June 2022

Announcement Date: 16/06/2022

Ex Date: 23/06/2022

Record Date: 24/06/2022

Payment Date: 07/07/2022

Funds

ISIN Code

Currency

Rate

Tabula Haitong Asia ex-Japan High Yield Corp USD Bond ESG UCITS ETF (USD) – EUR- Hedged Distributing class

IE000DOZYQJ7

EUR

0.4637

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