ADVFN Logo ADVFN

Hot Features

Registration Strip Icon for alerts Inscrivez-vous pour des alertes en temps réel, un portefeuille personnalisé et des mouvements de marché.

IDVY Ishr Euro Div

1 619,40
-13,80 (-0,84%)
Dernière mise à jour : 15:28:08
Retardé de 15 minutes
Nom Etf Symbole Etf Marché Type
Ishr Euro Div IDVY London OPCVM indiciels
  Variation Etf Variation Etf% Cours Dernier Dernier échange
-13,80 -0,84% 1 619,40 15:28:08
Ouverture Plus Bas Plus Haut Prix de clôture Clôture Veille
1 626,00 1 618,50 1 628,00 1 633,20
plus d'informations sur les cotations »

Actualités Recentes

Date Heure Source Titre
22/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
21/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
20/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
17/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
16/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
15/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
14/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
13/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
10/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
09/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
08/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
07/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
03/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
01/5/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
30/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
29/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
26/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
25/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
24/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
23/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
22/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
19/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
18/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
17/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
16/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
15/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
12/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
11/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
10/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
09/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
08/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
05/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
04/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
03/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
02/4/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
28/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
27/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
26/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
25/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
22/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
21/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
20/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
19/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
18/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
15/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
14/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
13/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
12/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
11/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)
08/3/202408:10UK RNSiShares PLC Euro Dividend DIST GBP Net Asset Value(s)