Schroder International Selection Fund - Euro Liquidity A

NAV:LU0136043394.FONDNL.EUR, LU0136043394
123,927 00:00
+0,009 (+0,01%)

Historische koersen - februari 2025

Datum Open Slot Laag   Hoog Volume Verschil %
03 feb 123,910 123,910 123,910
123,910 0 +0,032 +0,03%
04 feb 123,919 123,919 123,919
123,919 0 +0,009 +0,01%
05 feb 123,927 123,927 123,927
123,927 0 +0,009 +0,01%

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