Company Announcements


Fund:
Tabula                                                 Share
GCC       Valuation              Shares in             Redeemed  NET Asset     NAV per Ex
Sovereign Date      ISIN Code    Issue        Currency since     Value         Share   Dividend
USD Bonds                                              Previous                        Date
UCITS ETF                                              Valuation
- USD

          12.08.25  IE000L1I4R94 1,794,226.00 USD      0         20,340,262.44 11.3365