T. Rowe Price Funds SICAV - Global Allocation Fund A

NAV:LU1417861728.FONDNL.USD, LU1417861728
17,210 00:00
+0,080 (+0,47%)

Historische koersen - februari 2025

Datum Open Slot Laag   Hoog Volume Verschil %
03 feb 16,930 16,930 16,930
16,930 0 -0,260 -1,51%
04 feb 17,080 17,080 17,080
17,080 0 +0,150 +0,89%
05 feb 17,120 17,120 17,120
17,120 0 +0,040 +0,23%
06 feb 17,190 17,190 17,190
17,190 0 +0,070 +0,41%
07 feb 17,220 17,220 17,220
17,220 0 +0,030 +0,17%
10 feb 17,170 17,170 17,170
17,170 0 -0,050 -0,29%
11 feb 17,170 17,170 17,170
17,170 0 0,000 0,00%
12 feb 17,130 17,130 17,130
17,130 0 -0,040 -0,23%
13 feb 17,210 17,210 17,210
17,210 0 +0,080 +0,47%

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