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NBMI Nb Global Monthly Income Fund Limited

52.60
0.80 (1.54%)
25 Abr 2024 - Cerrado
Retrasado por 15 minutos
Nombre de la Acción Símbolo de la Acción Bolsa de Valores Tipo de Valor
Nb Global Monthly Income Fund Limited NBMI London Acción Ordinaria
  Variación del Día (ptos.) Variación del Día (%) Último Precio Hora
0.80 1.54% 52.60 10:35:28
Precio de Apertura Precio Mínimo Precio Máximo Precio de cierre Precio Anterior
51.40 51.40 51.40 52.60 51.80
más cotizaciones de acciones »
Sector Industrial de la empresa
EQUITY INVESTMENT INSTRUMENTS

Noticias Recientes

Fecha Hora Fuente Noticia
25/4/202410:00UK RNSNB Global Monthly Income Fund Ltd Dividend Declaration
24/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
23/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
22/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
19/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
18/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
17/4/202415:55ALNCNewsEARNINGS AND TRADING: Chill Brands shareholder seeks board..
17/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
17/4/202401:00UK RNSNB Global Monthly Income Fund Ltd Annual Financial Report
16/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
15/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
12/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
11/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
10/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
09/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
08/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
05/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
04/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
03/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
02/4/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
02/4/202404:28UK RNSNB Global Monthly Income Fund Ltd Total Voting Rights
28/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
27/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
26/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
25/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
22/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
21/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
20/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
19/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
18/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
15/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
14/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
13/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
12/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
11/3/202413:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
08/3/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
07/3/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
07/3/202410:55UK RNSNB Global Monthly Income Fund Ltd Director/PDMR Shareholding
07/3/202405:52UK RNSNB Global Monthly Income Fund Ltd Director/PDMR Shareholding
06/3/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
05/3/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
05/3/202401:00UK RNSNB Global Monthly Income Fund Ltd Return of Capital by..
04/3/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
01/3/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
29/2/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
28/2/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
27/2/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
26/2/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
23/2/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)
22/2/202412:00UK RNSNB Global Monthly Income Fund Ltd Net Asset Value(s)

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