Exchange-Traded Fund Net Issuance, Hybrid:

88.00M USD for Dec 2018
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Exchange-Traded Fund Net Issuance, Hybrid is at a current level of 88.00M, up from 34.00M last month and down from 286.00M one year ago. This is a change of 158.8% from last month and -69.23% from one year ago.

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Exchange-Traded Fund Net Issuance, Hybrid Historical Data

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Export Data Date Range:
Data for this Date Range  
Dec. 31, 2018 88.00M
Nov. 30, 2018 34.00M
Oct. 31, 2018 99.00M
Sept. 30, 2018 129.00M
Aug. 31, 2018 157.00M
July 31, 2018 131.00M
June 30, 2018 44.00M
May 31, 2018 180.00M
April 30, 2018 113.00M
March 31, 2018 263.00M
Feb. 28, 2018 143.00M
Jan. 31, 2018 306.00M
Dec. 31, 2017 286.00M
Nov. 30, 2017 56.00M
Oct. 31, 2017 384.00M
Sept. 30, 2017 138.00M
Aug. 31, 2017 200.00M
July 31, 2017 298.00M
   
June 30, 2017 199.00M
May 31, 2017 209.00M
April 30, 2017 179.00M
March 31, 2017 129.00M
Feb. 28, 2017 165.00M
Jan. 31, 2017 257.00M
Dec. 31, 2016 58.00M
Nov. 30, 2016 57.00M
Oct. 31, 2016 173.00M
Sept. 30, 2016 118.00M
Aug. 31, 2016 130.00M
July 31, 2016 64.00M
June 30, 2016 301.00M
May 31, 2016 -102.00M
April 30, 2016 169.00M
March 31, 2016 42.00M
Feb. 29, 2016 21.00M
Jan. 31, 2016 56.00M

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Exchange-Traded Fund Net Issuance, Hybrid Summary

  • Last Value: 88.00M
  • Latest Period: Dec 2018
  • Updated: Feb 10, 2019, 10:02 EST
  • Frequency: Monthly
  • Unit: USD
  • Adjustment: Seasonally Adjusted
  • Value Previously: 34.00M
  • Change From Previous: 158.8%
  • Value One Year Ago: 286.00M
  • Change From One Year Ago: -69.23%
  • First Period: Jan 2016
  • First Value: 56.00M

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I:ETFNIH Excel Add-In Codes

  • Indicator Code: I:ETFNIH
  • Indicator Name: =YCI("I:ETFNIH","name")
  • Latest Value: =YCP("I:ETFNIH")
  • Last 5 Values: =YCS("I:ETFNIH",,-4)

To find the codes for any of our financial metrics, see our Complete Reference of Metric Codes.

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