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103,85
1,30
( 1,27% )
Mis à jour : 16:05:02

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Statistiques et détails clés

Dernier
103,85
Prix Achat
103,84
Prix Vente
103,86
Volume échangé
16 816
102,61 Fourchette du Jour 103,985
0,00 Plage de 52 semaines 0,00
Clôture Veille
102,55
Ouverture
102,68
Dernière Transaction
782
@
103.97
(AT)
Dernière heure de transaction
16:00:21
Volume moyen (3 m)
-
Volume financier
£ 1 746 019
VWAP
103,8308

IBTS Dernières nouvelles

iShares PLC $ Treasury Bond 1-3 GBP Net Asset Value(s)

iShares PLC $ Treasury Bond 1-3 GBP 08 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 1-3yr UCITS ETF USD (Dist...

iShares PLC $ Treasury Bond 1-3 GBP Net Asset Value(s)

iShares PLC $ Treasury Bond 1-3 GBP 07 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 1-3yr UCITS ETF USD (Dist...

iShares PLC $ Treasury Bond 1-3 GBP Net Asset Value(s)

iShares PLC $ Treasury Bond 1-3 GBP 06 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 1-3yr UCITS ETF USD (Dist...

iShares PLC $ Treasury Bond 1-3 GBP Net Asset Value(s)

iShares PLC $ Treasury Bond 1-3 GBP 03 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 1-3yr UCITS ETF USD (Dist...

iShares PLC $ Treasury Bond 1-3 GBP Net Asset Value(s)

iShares PLC $ Treasury Bond 1-3 GBP 02 January 2025   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 1-3yr UCITS ETF USD (Dist...

iShares PLC $ Treasury Bond 1-3 GBP Net Asset Value(s)

iShares PLC $ Treasury Bond 1-3 GBP 31 December 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 1-3yr UCITS ETF USD (Dist...

iShares PLC $ Treasury Bond 1-3 GBP Net Asset Value(s)

iShares PLC $ Treasury Bond 1-3 GBP 30 December 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 1-3yr UCITS ETF USD (Dist...

iShares PLC $ Treasury Bond 1-3 GBP Net Asset Value(s)

iShares PLC $ Treasury Bond 1-3 GBP 27 December 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 1-3yr UCITS ETF USD (Dist...

iShares PLC $ Treasury Bond 1-3 GBP Net Asset Value(s)

iShares PLC $ Treasury Bond 1-3 GBP 24 December 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 1-3yr UCITS ETF USD (Dist...

iShares PLC $ Treasury Bond 1-3 GBP Net Asset Value(s)

iShares PLC $ Treasury Bond 1-3 GBP 23 December 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares $ Treasury Bond 1-3yr UCITS ETF USD (Dist...

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