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FlexShares Real Assets Allocation Index Fund

ASET
225.001,00
224.970,17 (729.690,26%)
26 Feb 2025 - Chiuso
Dati in Delay di 15 minuti
Borsa: Indici NASDAQ
Tipo: Exchange Traded Fund (ETF)
Valuta: USD

Performance storiche

Periodo † Apert. Max Min VWAP Med. Vol. Giorn. Var %
1 Sett.0,000,000,000,0000,000,00%
1 Mese0,000,000,000,0000,000,00%
3 Mesi0,000,000,000,0000,000,00%
6 Mesi0,000,000,000,0000,000,00%
1 Anno0,000,000,000,0000,000,00%
3 Anni0,000,000,000,0000,000,00%
5 Anni0,000,000,000,0000,000,00%

Serie storiche - 1 Mese

Data Chiusura Var. Var. (%) Apertura Max Min Volume
25 Feb 2025 31,0155 0,18 0,60% 30,8318 31,0888 30,8318 0
24 Feb 2025 30,8309 0,04 0,12% 30,7935 30,9551 30,7935 0
21 Feb 2025 30,7945 -0,19 -0,61% 30,9841 30,9938 30,7376 0
20 Feb 2025 30,9842 0,18 0,58% 30,8049 30,9928 30,8049 0
19 Feb 2025 30,805 -0,14 -0,46% 30,9484 30,9484 30,7446 0
18 Feb 2025 30,9471 0,17 0,54% 30,7789 30,9471 30,7493 0
14 Feb 2025 30,7804 -0,12 -0,38% 30,8967 31,0791 30,778 0
13 Feb 2025 30,8968 0,29 0,94% 30,6085 30,8968 30,6059 0
12 Feb 2025 30,6085 -0,15 -0,48% 30,7549 30,7549 30,4053 0
11 Feb 2025 30,7549 0,14 0,46% 30,6139 30,7549 30,5212 0
10 Feb 2025 30,613 0,13 0,42% 30,4831 30,6205 30,4831 0
07 Feb 2025 30,4841 -0,15 -0,50% 30,6386 30,6614 30,4695 0
06 Feb 2025 30,6386 -0,02 -0,07% 30,6596 30,7074 30,5571 0
05 Feb 2025 30,6597 0,32 1,05% 30,3419 30,7068 30,3419 0
04 Feb 2025 30,3419 0,14 0,45% 30,2072 30,3995 30,1556 0
03 Feb 2025 30,2063 -0,14 -0,45% 30,3417 30,3427 29,9064 0
31 Gen 2025 30,3427 -0,20 -0,64% 30,5394 30,6128 30,2973 0
30 Gen 2025 30,5394 0,28 0,92% 30,2619 30,6845 30,2619 0
29 Gen 2025 30,2619 -0,11 -0,37% 30,3733 30,4608 30,1766 0
28 Gen 2025 30,3734 -0,18 -0,60% 30,5579 30,5662 30,308 0
27 Gen 2025 30,5571 0,21 0,68% 30,35 30,5571 30,35 0

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