T. Rowe Price Funds SICAV - Global Investment Grade Corporate Bond Fund A

NAV:LU1216622990.FONDNL.USD, LU1216622990
12,670 00:00
+0,060 (+0,48%)

Historische koersen - januari 2025

Datum Open Slot Laag   Hoog Volume Verschil %
02 jan 12,590 12,590 12,590
12,590 0 -0,010 -0,08%
03 jan 12,590 12,590 12,590
12,590 0 0,000 0,00%
06 jan 12,550 12,550 12,550
12,550 0 -0,040 -0,32%
07 jan 12,540 12,540 12,540
12,540 0 -0,010 -0,08%
08 jan 12,510 12,510 12,510
12,510 0 -0,030 -0,24%
09 jan 12,520 12,520 12,520
12,520 0 +0,010 +0,08%
10 jan 12,470 12,470 12,470
12,470 0 -0,050 -0,40%
13 jan 12,450 12,450 12,450
12,450 0 -0,020 -0,16%
14 jan 12,440 12,440 12,440
12,440 0 -0,010 -0,08%
15 jan 12,530 12,530 12,530
12,530 0 +0,090 +0,72%
16 jan 12,520 12,520 12,520
12,520 0 -0,010 -0,08%
17 jan 12,570 12,570 12,570
12,570 0 +0,050 +0,40%
20 jan 12,570 12,570 12,570
12,570 0 0,000 0,00%
21 jan 12,590 12,590 12,590
12,590 0 +0,020 +0,16%
22 jan 12,600 12,600 12,600
12,600 0 +0,010 +0,08%
23 jan 12,560 12,560 12,560
12,560 0 -0,040 -0,32%
24 jan 12,570 12,570 12,570
12,570 0 +0,010 +0,08%
27 jan 12,620 12,620 12,620
12,620 0 +0,050 +0,40%
28 jan 12,620 12,620 12,620
12,620 0 0,000 0,00%
29 jan 12,640 12,640 12,640
12,640 0 +0,020 +0,16%
30 jan 12,650 12,650 12,650
12,650 0 +0,010 +0,08%
31 jan 12,670 12,670 12,670
12,670 0 +0,020 +0,16%

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