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137,355
0,41
( 0,30% )
Mis à jour : 09:40:36

Outils de qualité professionnelle, pour des investisseurs individuels.

Statistiques et détails clés

Dernier
137,355
Prix Achat
137,32
Prix Vente
137,39
Volume échangé
4
137,18 Fourchette du Jour 137,61
0,00 Plage de 52 semaines 0,00
Clôture Veille
136,945
Ouverture
137,42
Dernière Transaction
1
@
13739
(O)
Dernière heure de transaction
09:26:59
Volume moyen (3 m)
-
Volume financier
£ 550
VWAP
137,4167

IBTM Dernières nouvelles

iShares II $Trsry Bond 7-10yr DIST£ Net Asset Value(s)

iShares II $Trsry Bond 7-10yr DIST£ 16 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 7-10yr UCITS ETF USD (Dist...

iShares II $Trsry Bond 7-10yr DIST£ Net Asset Value(s)

iShares II $Trsry Bond 7-10yr DIST£ 15 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 7-10yr UCITS ETF USD (Dist...

iShares II $Trsry Bond 7-10yr DIST£ Net Asset Value(s)

iShares II $Trsry Bond 7-10yr DIST£ 14 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 7-10yr UCITS ETF USD (Dist...

iShares II $Trsry Bond 7-10yr DIST£ Net Asset Value(s)

iShares II $Trsry Bond 7-10yr DIST£ 13 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 7-10yr UCITS ETF USD (Dist...

iShares II $Trsry Bond 7-10yr DIST£ Net Asset Value(s)

iShares II $Trsry Bond 7-10yr DIST£ 10 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 7-10yr UCITS ETF USD (Dist...

iShares II $Trsry Bond 7-10yr DIST£ Net Asset Value(s)

iShares II $Trsry Bond 7-10yr DIST£ 09 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 7-10yr UCITS ETF USD (Dist...

iShares II $Trsry Bond 7-10yr DIST£ Net Asset Value(s)

iShares II $Trsry Bond 7-10yr DIST£ 08 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 7-10yr UCITS ETF USD (Dist...

iShares II $Trsry Bond 7-10yr DIST£ Net Asset Value(s)

iShares II $Trsry Bond 7-10yr DIST£ 07 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 7-10yr UCITS ETF USD (Dist...

iShares II $Trsry Bond 7-10yr DIST£ Net Asset Value(s)

iShares II $Trsry Bond 7-10yr DIST£ 06 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 7-10yr UCITS ETF USD (Dist...

iShares II $Trsry Bond 7-10yr DIST£ Net Asset Value(s)

iShares II $Trsry Bond 7-10yr DIST£ 03 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 7-10yr UCITS ETF USD (Dist...

PériodeVariationVariation %Ouver.HautBasMoyenne Vol. Quot.VWAP
10000000SP
40000000SP
120000000SP
260000000SP
520000000SP
1560000000SP
2600000000SP
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