F/m U.S. Treasury 30-Year Bond ETF - UTHY - Net Asset Value Table

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This article provides the net asset value (NAV) and market price for the F/m U.S. Treasury 30 Year Bond ETF (UTHY) as of April 22nd. It details the daily net asset values and market prices for the ETF over the past 30 days, along with general information about the ETF. The piece also includes important disclaimers regarding performance calculations, net asset value fluctuations, sales fees, and the informational nature of the data provided.

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