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World Funds

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Ireland - Funds

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Condition

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%

Frequency

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Status

 NameSymbolLastChg. %Total AssetsTime
 State Street GBP Liquidity LVNAV Fund I Stable NAV0P0000.1.0000.00%6.74B09/05 

Luxembourg - Funds

 NameSymbolLastChg. %Total AssetsTime
 State Street Global Treasury Bond Index Fund I USD0P0000.10.458-0.76%3.13B08/05 
 State Street Global Treasury Bond Index Fund P USD0P0000.10.230-0.76%3.13B08/05 
 State Street Global Treasury Bond Index Fund B USD0P0000.9.594-0.76%3.13B08/05 
 SSgA Luxembourg SICAV - SSgA Global Treasury Bond 0P0000.13.714-0.28%3.13B08/05 
 SSgA Luxembourg SICAV - SSgA Global Treasury Bond 0P0001.10.545-0.30%3.13B08/05 
 SSgA Luxembourg SICAV - SSgA Global Aggregate Bond0P0000.10.501-0.70%2.31B08/05 
 State Street Global Aggregate Bond Index Fund I GB0P0001.11.487-0.31%2.31B08/05 
 SSgA Luxembourg SICAV - SSgA Euro Aggregate Corpor0P0000.13.602-0.07%708.98M08/05 
 SSgA Luxembourg SICAV - SSgA Euro Aggregate Corpor0P0000.15.551-0.07%708.98M08/05 
 SSgA Luxembourg SICAV - SSgA EMU Government Bond I0P0000.12.174-0.22%344.38M08/05 
 SSgA Luxembourg SICAV - SSgA EMU Government Bond I0P0000.13.065-0.22%344.38M08/05 
 SSgA Luxembourg SICAV - SSgA EMU Government Bond I0P0000.12.397-0.22%344.38M08/05 
 SSgA Luxembourg SICAV - SSgA EMU Government Bond I0P0001.9.927-0.22%344.38M08/05 
 State Street Euro Core Treasury Bond Index Fund P 0P0000.10.449-0.27%121.76M08/05 
 SSgA Luxembourg SICAV - SSgA Euro Inflation Linked0P0001.12.326-0.18%69.68M08/05 
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