AXA World Funds Global Convertibles A Capitalisation EUR pf

NAV:LU0545110271.FONDNL.EUR, LU0545110271
117,390 00:00
-0,650 (-0,55%)

Historische koersen - juni 2024

Datum Open Slot Laag   Hoog Volume Verschil %
03 jun 0,000 117,500 0,000
0,000 0 +0,050 +0,04%
04 jun 0,000 117,320 0,000
0,000 0 -0,180 -0,15%
05 jun 0,000 117,860 0,000
0,000 0 +0,540 +0,46%
06 jun 0,000 118,040 0,000
0,000 0 +0,180 +0,15%
07 jun 0,000 117,390 0,000
0,000 0 -0,650 -0,55%

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