HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend AS Fonds
20,67
EUR
-0,44
EUR
-2,08
%
22,07
USD
-0,02
USD
-0,11
%
Werbung
Börsenplätze HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend AS Fonds
Börse | Währung | Letzter | Vortag | +/- % | Spanne | Volumen | Zeit | Datum | |
---|---|---|---|---|---|---|---|---|---|
Baader Bank | EUR | 20,93 | 21,05 | -0,61 | 20,78 - 21,07 | 15:55:58 | 27.01.2025 | ||
gettex | EUR | 20,92 | 21,16 | -1,14 | 20,87 - 20,92 | 15:47:23 | 27.01.2025 | ||
Düsseldorf | EUR | 20,78 | 21,05 | -1,28 | 20,77 - 20,90 | 15:15:40 | 27.01.2025 | ||
Frankfurt | EUR | 20,89 | 21,06 | -0,81 | 20,76 - 20,91 | 15:51:26 | 27.01.2025 | ||
Fdsquare USD | USD | 22,07 | 22,07 | -0,11 | 00:00:01 | 24.01.2025 | |||
Hamburg | EUR | 21,05 | 21,15 | -0,47 | 21,05 - 21,05 | 08:29:51 | 27.01.2025 | ||
München | EUR | 21,15 | 21,39 | -1,12 | 21,15 - 21,15 | 08:51:31 | 27.01.2025 | ||
Stuttgart | EUR | 20,67 | 21,11 | -2,08 | 20,58 - 20,96 | 15:45:24 | 27.01.2025 | ||
Tradegate | EUR | 21,33 | 21,05 | 0,72 | 19:17:32 | 09.01.2025 | |||
Quotrix | EUR | 17,33 | 21,03 | 0,41 | 07:51:43 | 16.01.2018 | |||
NAV | USD | 22,07 | 22,10 | -0,11 | - | 24.01.2025 |