Fidelity Funds - European High Yield Fund A

NAV:LU0110060430.FONDNL.EUR, LU0110060430
9,341 00:00
+0,002 (+0,02%)

Historische koersen - januari 2025

Datum Open Slot Laag   Hoog Volume Verschil %
02 jan 9,228 9,228 9,228
9,228 0 +0,003 +0,03%
03 jan 9,225 9,225 9,225
9,225 0 -0,003 -0,03%
06 jan 9,227 9,227 9,227
9,227 0 +0,002 +0,02%
07 jan 9,224 9,224 9,224
9,224 0 -0,003 -0,03%
09 jan 9,204 9,204 9,204
9,204 0 -0,020 -0,22%
10 jan 9,192 9,192 9,192
9,192 0 -0,012 -0,13%
13 jan 9,178 9,178 9,178
9,178 0 -0,014 -0,15%
14 jan 9,181 9,181 9,181
9,181 0 +0,003 +0,03%
15 jan 9,205 9,205 9,205
9,205 0 +0,024 +0,26%
16 jan 9,217 9,217 9,217
9,217 0 +0,012 +0,13%
17 jan 9,224 9,224 9,224
9,224 0 +0,007 +0,08%
20 jan 9,236 9,236 9,236
9,236 0 +0,012 +0,13%
21 jan 9,245 9,245 9,245
9,245 0 +0,009 +0,10%
22 jan 9,251 9,251 9,251
9,251 0 +0,006 +0,06%
23 jan 9,253 9,253 9,253
9,253 0 +0,002 +0,02%
24 jan 9,257 9,257 9,257
9,257 0 +0,004 +0,04%
27 jan 9,260 9,260 9,260
9,260 0 +0,003 +0,03%
28 jan 9,268 9,268 9,268
9,268 0 +0,008 +0,09%
29 jan 9,278 9,278 9,278
9,278 0 +0,010 +0,11%
30 jan 9,291 9,291 9,291
9,291 0 +0,013 +0,14%
31 jan 9,305 9,305 9,305
9,305 0 +0,014 +0,15%

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