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Barc.Gbl.End.Ii

Barc.Gbl.End.Ii (BIF)

122.00
0.00
(0.00%)
Cerrado 13 Noviembre 10:30AM

Su centro para precios en tiempo real, ideas y debates en vivo

Estadísticas y detalles clave

Último Precio
122.00
Postura de Compra
0.00
Postura de Venta
0.00
Volume Operado de la Acción
0.00
0.00 Rango del Día 0.00
0.00 Rango de 52 semanas 0.00
Precio Anterior
122.00
Precio de Apertura
-
Hora
(O)
Última hora de negociación
Volumen promedio (3 m)
-
Volumen financiero
-
Precio Promedio Ponderado
-

BIF Últimas noticias

EGM Statement

BarclaysGlbl Inv Endowment Fd II Ld 26 August 2009 ? Barclays Global Investors Endowment Fund II Limited 26 August 2009 At an Extraordinary General Meeting of the shareholders of Barclays...

Net Asset Value(s)

BarclaysGlbl Inv Endowment Fd II Ld 24 August 2009 ? Barclays Global Investors Endowment Fund II Limited Net Asset Value The Company's net asset value at 31 July 2009 was 125.10p per share...

Winding-up of the Company

BarclaysGlbl Inv Endowment Fd II Ld 30 July 2009 ? Barclays Global Investors Endowment Fund II Limited 30 July 2009 Introduction The Company has today posted a circular to Shareholders...

Interim Management Statement

BarclaysGlbl Inv Endowment Fd II Ld 16 July 2009 ? 16 July 2009 Barclays Global Investors Endowment Fund II Limited Interim Management Statement Investment Objective Barclays Global Investors...

Net Asset Value(s)

BarclaysGlbl Inv Endowment Fd II Ld 16 July 2009 ? Barclays Global Investors Endowment Fund II Limited Net Asset Value The Company's net asset value at 30 June 2009 was 125.47p per share. The...

Net Asset Value(s)

BarclaysGlbl Inv Endowment Fd II Ld 30 June 2009 ? Barclays Global Investors Endowment Fund II Limited Net Asset Value The Company's net asset value at 31 May 2009 was 125.58p per share. The...

Net Asset Value(s)

BarclaysGlbl Inv Endowment Fd II Ld 29 May 2009 ? Barclays Global Investors Endowment Fund II Limited Net Asset Value The Company's net asset value at 30 April 2009 was 126.01p per share. The...

Half Yearly Report

BarclaysGlbl Inv Endowment Fd II Ld 24 April 2009 ? For Immediate Release 24 April 2009 Barclays Global Investors Endowment Fund II Limited Interim Results for the six months ended 28...

Net Asset Value(s)

BarclaysGlbl Inv Endowment Fd II Ld 22 April 2009 ? Barclays Global Investors Endowment Fund II Limited Net Asset Value The Company's net asset value at 31 March 2009 was 126.50p per share...

Net Asset Value(s)

BarclaysGlbl Inv Endowment Fd II Ld 16 March 2009 ? Barclays Global Investors Endowment Fund II Limited Net Asset Value The Company's net asset value at 28 February 2009 was 127.09 per share...

Período †Variación(Ptos)Variación %AperturaPrecio MáximoPrecio MínimoAvg. Vol. diarioPrecio Promedio Ponderado
10000000DE
40000000DE
120000000DE
260000000DE
520000000DE
1560000000DE
2600000000DE

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