Goldman Sachs Funds SICAV Goldman Sachs Euro Short Duration Bond Plus Portfolio Base Shares (Acc.)

NAV:LU0997587836.FONDNL.EUR, LU0997587836
10,600 00:00
-0,010 (-0,09%)

Historische koersen - oktober 2024

Datum Open Slot Laag   Hoog Volume Verschil %
01 okt 10,470 10,470 10,470
10,470 0 +0,010 +0,10%
02 okt 10,470 10,470 10,470
10,470 0 0,000 0,00%
03 okt 10,460 10,460 10,460
10,460 0 -0,010 -0,10%
04 okt 10,450 10,450 10,450
10,450 0 -0,010 -0,10%
07 okt 10,430 10,430 10,430
10,430 0 -0,020 -0,19%
08 okt 10,430 10,430 10,430
10,430 0 0,000 0,00%
09 okt 10,430 10,430 10,430
10,430 0 0,000 0,00%
10 okt 10,430 10,430 10,430
10,430 0 0,000 0,00%
11 okt 10,430 10,430 10,430
10,430 0 0,000 0,00%
15 okt 10,450 10,450 10,450
10,450 0 +0,020 +0,19%
16 okt 10,460 10,460 10,460
10,460 0 +0,010 +0,10%
17 okt 10,460 10,460 10,460
10,460 0 0,000 0,00%
18 okt 10,480 10,480 10,480
10,480 0 +0,020 +0,19%
21 okt 10,470 10,470 10,470
10,470 0 -0,010 -0,10%
22 okt 10,460 10,460 10,460
10,460 0 -0,010 -0,10%
23 okt 10,470 10,470 10,470
10,470 0 +0,010 +0,10%
24 okt 10,470 10,470 10,470
10,470 0 0,000 0,00%
25 okt 10,470 10,470 10,470
10,470 0 0,000 0,00%
28 okt 10,470 10,470 10,470
10,470 0 0,000 0,00%
29 okt 10,460 10,460 10,460
10,460 0 -0,010 -0,10%
30 okt 10,440 10,440 10,440
10,440 0 -0,020 -0,19%
31 okt 10,420 10,420 10,420
10,420 0 -0,020 -0,19%

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