Natixis AM Funds Ostrum SRI Euro Aggregate R

NAV:LU0935223627.FONDNL.EUR, LU0935223627
138,340 00:00
+0,050 (+0,04%)

Historische koersen - juni 2024

Datum Open Slot Laag   Hoog Volume Verschil %
03 jun 0,000 138,170 0,000
0,000 0 +0,730 +0,53%
04 jun 0,000 138,570 0,000
0,000 0 +0,400 +0,29%
05 jun 0,000 138,850 0,000
0,000 0 +0,280 +0,20%
06 jun 0,000 138,460 0,000
0,000 0 -0,390 -0,28%
07 jun 0,000 137,630 0,000
0,000 0 -0,830 -0,60%
10 jun 0,000 137,030 0,000
0,000 0 -0,600 -0,44%
11 jun 0,000 137,300 0,000
0,000 0 +0,270 +0,20%
12 jun 0,000 138,290 0,000
0,000 0 +0,990 +0,72%
13 jun 0,000 138,340 0,000
0,000 0 +0,050 +0,04%

EU stocks, real time, by Cboe Europe Ltd.; Other, Euronext & US stocks by NYSE & Cboe BZX Exchange, 15 min. delayed
#/^ Index indications calculated real time, zie disclaimer, streaming powered by: Infront