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Ish Ibd Dec29 $

ID29
104,37
-0,17 (-0,16%)
22 Nov 2024 - Chiuso
Dati in Delay di 15 minuti
Borsa: Londra
Tipo: Exchange Traded Fund (ETF)
Valuta: USD

Ultime notizie

Data Ora Fonte Titolo
22/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
21/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
20/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
19/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
18/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
15/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
14/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
13/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
12/11/202408:21LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
11/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
08/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
07/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
06/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
05/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
04/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
01/11/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
31/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
30/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
29/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
28/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
25/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
24/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
23/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
22/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
21/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
18/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
17/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
16/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
15/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
14/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
11/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
10/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
09/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
08/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
07/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
04/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
03/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
02/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
01/10/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
30/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
27/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
26/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
25/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
24/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
23/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
20/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
19/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
18/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
17/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
16/9/202408:10LSEG_RNSiShares V iBonds Dec29 Term $ ACC Net Asset Value(s)
Apertura: 104,56 Min: 104,08 Max: 104,66
Chiusura: 104,54

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