Will First Trust Global Funds PLC publish NAV data for UCITS ETFs on 2 October 2026?
Posted 2026-09-25 — 7 days before the deadline, stated before the outcome.
First Trust Global Funds PLC is an asset management company that issues exchange-traded funds. Net asset value data represents the calculated per-share value of these funds, typically published on business days.
The claim
First Trust Global Funds PLC publishes net asset value data for multiple UCITS ETFs on 2 October 2026.
Reasoning trace
- routine daily regulatory NAV reporting schedule evidenced by 25 September filings
- consistent pattern of same-day multi-fund releases
Evidence so far
0 confirming · 0 denying signals · 1 verified · 0 broken assumptions. The evidence itself is part of the full dossier.
Probability history
Updated 2 times since mint (last on 2026-09-26) — 79% at mint → 80% today.
The full dossier behind this prediction — the evidence trail, the risk analysis, the monetization scenarios — is available on request: [email protected].
Probabilities are calibrated against the system's own resolved history; after the deadline the outcome is resolved and audited — including the calls we get wrong. Nothing on this page is investment advice.