ADVFN Logo ADVFN

No pudimos encontrar ningún resultado para:
Asegúrate de que la ortografía sea correcta o intenta ampliar tu búsqueda.

Tendencias Ahora

Listas Principales

Parece que no has iniciado sesión.
Haz clic en el botón de abajo para iniciar sesión y ver tu historial reciente.

Hot Features

Registration Strip Icon for discussion Regístrate para interactuar en nuestros foros activos para discutir con inversores de ideas afines.

EFRN Is Eur Fl Rt Bd

5.0265
0.00 (0.00%)
17 May 2024 - Cerrado
Retrasado por 15 minutos
Nombre Etf Símbolo Etf Bolsa de Valores Tipo de Valor
Is Eur Fl Rt Bd EFRN London ETFs (TRACs)
  Variación del Día (ptos.) Variación del Día (%) Último Precio Hora
0.00 0.00% 5.0265 10:29:06
Precio de Apertura Precio Mínimo Precio Máximo Precio de cierre Precio Anterior
5.019 5.019 5.029 5.0265 5.0265
más cotizaciones de acciones »

Noticias Recientes

Fecha Hora Fuente Noticia
17/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
16/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
15/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
14/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
13/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
10/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
09/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
09/5/202401:00UK RNSiShares II Eur Flt Rate Bnd UCITS Dividend Declaration
08/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
07/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
03/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
02/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
01/5/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
30/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
29/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
26/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
25/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
24/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
23/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
22/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
19/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
18/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
17/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
16/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
15/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
12/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
11/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
10/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
09/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
08/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
05/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
04/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
03/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
02/4/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
28/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
27/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
26/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
25/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
22/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
21/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
20/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
19/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
18/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
15/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
14/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
13/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
12/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
11/3/202402:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
08/3/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)
07/3/202401:10UK RNSiShares II Eur Flt Rate Bnd UCITS Net Asset Value(s)