{"success":true,"data":{"pressRelease":{"id":"88150","rtpr_id":"nBwbnd24va","ticker":"FGRO","exchange":"LSE","all_tickers":["FGRO"],"title":"REG-First Trust Global Funds PLC Net Asset Value(s)","author":"Business Wire","published_at":"2026-07-14T16:07:00.072Z","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 Growth Strength UCITS ETF  13.07.2026  FTGS.LN  IE000YZLMXT9    25,002.00      USD          591,505.68      23.658       \n\n\n \n\n\n\nView source version on businesswire.com:\nhttps://www.businesswire.com/news/home/20260714307238/en/\n(https://www.businesswire.com/news/home/20260714307238/en/)\n\nFirst Trust Global Funds PLC\n\n\nCopyright Business Wire 2026","article_body_html":"","raw_payload":{"data":{"id":"nBwbnd24va","title":"REG-First Trust Global Funds PLC Net Asset Value(s)","author":"Business Wire","ticker":"FGRO","created":"2026-07-14T16:07:00.072Z","tickers":["FGRO"],"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 Growth Strength UCITS ETF  13.07.2026  FTGS.LN  IE000YZLMXT9    25,002.00      USD          591,505.68      23.658       \n\n\n \n\n\n\nView source version on businesswire.com:\nhttps://www.businesswire.com/news/home/20260714307238/en/\n(https://www.businesswire.com/news/home/20260714307238/en/)\n\nFirst Trust Global Funds PLC\n\n\nCopyright Business Wire 2026"},"type":"article","timestamp":"2026-07-14T16:07:00.124607453Z","server_sent_at_ms":1784045220124},"received_at":"2026-07-14T16:07:00.176Z","source_url":"https://www.businesswire.com/news/home/20260714307238/en/"},"analysis":{"id":"77202","press_release_id":"88150","analysis_json":{"industry":{"label":"Capital Markets","sector":"Financials"},"redFlags":[],"eventType":"other","narrative":"First Trust Global Funds PLC reported daily Net Asset Values for the First Trust Growth Strength UCITS ETF.\n\nAs of July 13, 2026, the fund recorded a NAV per share of 23.658 with total assets of approximately $591,506.","sentiment":"neutral","agentHooks":{"shouldPost":false,"suggestedAngle":""},"keyFigures":{"customDimensions":{"nav_per_share":23.658,"shares_in_issue":25002}},"quotedText":"","namedEntities":{"people":[],"products":["First Trust Growth Strength UCITS ETF"],"companies":[{"name":"First Trust Global Funds PLC"},{"name":"First Trust Growth Strength UCITS ETF","ticker":"FTGS.LN","relationship":"subsidiary fund"}],"dollarAmounts":[{"amount":"591,505.68","context":"Total Net Asset Value"},{"amount":"23.658","context":"Net Asset Value per Share"}]},"materialImpact":{"score":1,"reasoning":"Routine daily Net Asset Value (NAV) publication for a fund. No material strategic updates, earnings, or corporate actions."},"tickerRelevance":{"others":[{"ticker":"FTGS.LN","relevance":"subsidiary fund / subject of report"}],"primary":"FGRO"},"globalImportance":5,"audienceRelevance":5,"eventTypeSecondary":[],"importanceComponents":{"tickerTier":"niche_fund","eventGravity":"routine_fund_reporting"}},"event_type":"other","event_type_secondary":null,"sentiment":"neutral","material_impact_score":1,"narrative":"First Trust Global Funds PLC reported daily Net Asset Values for the First Trust Growth Strength UCITS ETF.\n\nAs of July 13, 2026, the fund recorded a NAV per share of 23.658 with total assets of approximately $591,506.","key_figures":{"customDimensions":{"nav_per_share":23.658,"shares_in_issue":25002}},"named_entities":{"people":[],"products":["First Trust Growth Strength UCITS ETF"],"companies":[{"name":"First Trust Global Funds PLC"},{"name":"First Trust Growth Strength UCITS ETF","ticker":"FTGS.LN","relationship":"subsidiary fund"}],"dollarAmounts":[{"amount":"591,505.68","context":"Total Net Asset Value"},{"amount":"23.658","context":"Net Asset Value per Share"}]},"model_name":"glm-4.7","prompt_hash":"sha256:727b4b9429a443af","schema_hash":"sha256:05005c02d9cffac9","created_at":"2026-07-14T18:58:44.085Z","global_importance":5,"audience_relevance":5,"importance_components":{"tickerTier":"niche_fund","eventGravity":"routine_fund_reporting"}},"durationMs":83996,"modelName":"glm-4.7"}}