{"success":true,"data":{"pressRelease":{"id":"146525","rtpr_id":"nBw1kKdhWa-20260917","ticker":"NXTG","exchange":"LSE","all_tickers":["NXTG"],"title":"REG-First Trust Global Funds PLC Net Asset Value(s)","author":"Business Wire","published_at":"2026-09-17T13:12:00.165Z","article_body":"Net Asset Value(s)\n\n \n Funds                              Date        TIDM     ISIN Code     Shares in Issue  Currency  Net Asset Value  NAV/per Share  \n First Trust Indxx NextG UCITS ETF  16.09.2026  NXTG.LN  IE00BWTNM743   170,002.00      USD         9,564,791.71     56.263       \n\n\n \n\n\n\nView source version on businesswire.com:\nhttps://www.businesswire.com/news/home/20260917435797/en/\n(https://www.businesswire.com/news/home/20260917435797/en/)\n\nFirst Trust Global Funds PLC\n\n\nCopyright Business Wire 2026","article_body_html":"","raw_payload":{"data":{"id":"nBw1kKdhWa-20260917","title":"REG-First Trust Global Funds PLC Net Asset Value(s)","author":"Business Wire","ticker":"NXTG","created":"2026-09-17T13:12:00.165Z","tickers":["NXTG"],"exchange":"LSE","article_body":"Net Asset Value(s)\n\n \n Funds                              Date        TIDM     ISIN Code     Shares in Issue  Currency  Net Asset Value  NAV/per Share  \n First Trust Indxx NextG UCITS ETF  16.09.2026  NXTG.LN  IE00BWTNM743   170,002.00      USD         9,564,791.71     56.263       \n\n\n \n\n\n\nView source version on businesswire.com:\nhttps://www.businesswire.com/news/home/20260917435797/en/\n(https://www.businesswire.com/news/home/20260917435797/en/)\n\nFirst Trust Global Funds PLC\n\n\nCopyright Business Wire 2026"},"type":"article","timestamp":"2026-09-17T13:12:00.212377578Z","server_sent_at_ms":1789650720212},"received_at":"2026-09-17T13:12:00.267Z","source_url":"https://www.businesswire.com/news/home/20260917435797/en/"},"analysis":{"id":"135357","press_release_id":"146525","analysis_json":{"industry":{"label":"Capital Markets","sector":"Financials"},"redFlags":[],"eventType":"other","narrative":"First Trust Global Funds PLC published the net asset value for the First Trust Indxx NextG UCITS ETF (TIDM NXTG.LN) as of September 16, 2026.\n\nTotal NAV was 9,564,791.71 USD across 170,002 shares in issue, implying a NAV per share of 56.263 (ISIN IE00BWTNM743).\n\nThis is a routine daily NAV print with no earnings, flow, or portfolio-change commentary; it carries no directional signal for the fund.","sentiment":"neutral","agentHooks":{"shouldPost":false,"suggestedAngle":"Routine NAV disclosure for a small UCITS ETF -- suppress as boilerplate."},"keyFigures":{"customDimensions":{"isin":"IE00BWTNM743","tidm":"NXTG.LN","currency":"USD","nav_date":"16.09.2026","nav_per_share":56.263,"shares_in_issue":170002}},"namedEntities":{"people":[],"products":["First Trust Indxx NextG UCITS ETF"],"companies":[{"name":"First Trust Global Funds PLC","relationship":"issuer / fund manager"},{"name":"First Trust Indxx NextG UCITS ETF","ticker":"NXTG.LN","relationship":"fund subject of the NAV disclosure"}],"dollarAmounts":[{"amount":"9,564,791.71","context":"total net asset value of the fund in USD as of 16.09.2026"},{"amount":"56.263","context":"net asset value per share in USD"}]},"materialImpact":{"score":1,"reasoning":"Routine daily NAV disclosure for a small UCITS ETF. Contains only static fund statistics (NAV, shares in issue, NAV per share) with no earnings, flows, holdings changes, or guidance content."},"tickerRelevance":{"others":[{"ticker":"NXTG.LN","relevance":"London Stock Exchange TIDM for the same fund (primary listing)"}],"primary":"NXTG"},"globalImportance":5,"audienceRelevance":5,"eventTypeSecondary":[],"importanceComponents":{"fundType":"UCITS ETF","tickerTier":"micro/small ETF (~$9.6M NAV)","eventGravity":"routine daily NAV disclosure","issuerAuthored":true,"householdBrandBoost":false,"retailFavoriteBoost":false}},"event_type":"other","event_type_secondary":null,"sentiment":"neutral","material_impact_score":1,"narrative":"First Trust Global Funds PLC published the net asset value for the First Trust Indxx NextG UCITS ETF (TIDM NXTG.LN) as of September 16, 2026.\n\nTotal NAV was 9,564,791.71 USD across 170,002 shares in issue, implying a NAV per share of 56.263 (ISIN IE00BWTNM743).\n\nThis is a routine daily NAV print with no earnings, flow, or portfolio-change commentary; it carries no directional signal for the fund.","key_figures":{"customDimensions":{"isin":"IE00BWTNM743","tidm":"NXTG.LN","currency":"USD","nav_date":"16.09.2026","nav_per_share":56.263,"shares_in_issue":170002}},"named_entities":{"people":[],"products":["First Trust Indxx NextG UCITS ETF"],"companies":[{"name":"First Trust Global Funds PLC","relationship":"issuer / fund manager"},{"name":"First Trust Indxx NextG UCITS ETF","ticker":"NXTG.LN","relationship":"fund subject of the NAV disclosure"}],"dollarAmounts":[{"amount":"9,564,791.71","context":"total net asset value of the fund in USD as of 16.09.2026"},{"amount":"56.263","context":"net asset value per share in USD"}]},"model_name":"glm-5.3-flash","prompt_hash":"sha256:727b4b9429a443af","schema_hash":"sha256:05005c02d9cffac9","created_at":"2026-09-17T13:12:27.203Z","global_importance":5,"audience_relevance":5,"importance_components":{"fundType":"UCITS ETF","tickerTier":"micro/small ETF (~$9.6M NAV)","eventGravity":"routine daily NAV disclosure","issuerAuthored":true,"householdBrandBoost":false,"retailFavoriteBoost":false}},"durationMs":26928,"modelName":"glm-5.3-flash"}}