<?xml version="1.0" encoding="UTF-8"?>
<FundPrices>
 <Sender>
  <SenderBIC/>
  <SenderDate>2026-04-15</SenderDate>
 </Sender>
 <FundPrice>
  <ISIN>DE000A2ATC31</ISIN>
  <Status>N</Status>
  <PriceDate>2026-04-15</PriceDate>
  <FundCurrency>EUR</FundCurrency>
  <SubscriptionPrice>10.97</SubscriptionPrice>
  <RedemptionPrice>10.45</RedemptionPrice>
  <NAVperShare>10.45</NAVperShare>
  <NumberShares>78502600.615</NumberShares>
  <NetAssetValue>820452239.57</NetAssetValue>
 </FundPrice>
</FundPrices>
