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Lyxor Index Fund - Lyxor MSCI EMU Value (DR) UCITS ETF (0E78.L)

LSE - LSE Prezzo differito. Valuta in EUR.
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127,34-1,78 (-1,38%)
Alla chiusura: 02:59PM BST
Periodo di tempo:
19 apr 2023 - 19 apr 2024
Mostra:
Prezzi storici
Frequenza:
Giornaliero
Valuta in EURScarica
DataApertoAltoBassoChiusura*Chiusura aggiustata**Volume
17 apr 2024------
16 apr 2024127,34127,34126,90126,90126,902.652
15 apr 2024129,12129,12129,12129,12129,128
12 apr 2024------
11 apr 2024------
10 apr 2024------
09 apr 2024------
08 apr 2024------
05 apr 2024------
04 apr 2024------
03 apr 2024------
02 apr 2024------
28 mar 2024------
27 mar 2024------
26 mar 2024------
25 mar 2024------
22 mar 2024------
21 mar 2024128,14128,14128,14128,14128,1410
20 mar 2024------
19 mar 2024------
18 mar 2024------
15 mar 2024126,44126,44126,44126,44126,448
14 mar 2024------
13 mar 2024------
12 mar 2024------
11 mar 2024------
08 mar 2024124,87124,87124,87124,87124,87300
07 mar 2024------
06 mar 2024------
05 mar 2024------
04 mar 2024------
01 mar 2024------
29 feb 2024------
28 feb 2024------
27 feb 2024------
26 feb 2024------
23 feb 2024122,64122,64122,64122,64122,64495
22 feb 2024------
21 feb 2024------
20 feb 2024120,94120,94120,94120,94120,94408
19 feb 2024------
16 feb 2024121,28121,28121,28121,28121,28212
15 feb 2024120,68120,68120,68120,68120,688
14 feb 2024119,84119,84119,84119,84119,842.317
13 feb 2024------
12 feb 2024------
09 feb 2024------
08 feb 2024------
07 feb 2024119,28119,28119,28119,28119,2813.031
06 feb 2024------
05 feb 2024------
02 feb 2024------
01 feb 2024------
31 gen 2024------
30 gen 2024------
29 gen 2024------
26 gen 2024------
25 gen 2024------
24 gen 2024------
23 gen 2024------
22 gen 2024------
19 gen 2024------
18 gen 2024------
17 gen 2024------
16 gen 2024120,78120,78120,78120,78120,7824
15 gen 2024121,40121,40121,40121,40121,408
12 gen 2024------
11 gen 2024------
10 gen 2024------
09 gen 2024------
08 gen 2024------
05 gen 2024------
04 gen 2024------
03 gen 2024------
02 gen 2024------
29 dic 2023------
28 dic 2023------
27 dic 2023------
22 dic 2023------
21 dic 2023------
20 dic 2023121,48121,48121,48121,48121,48150
19 dic 2023------
18 dic 2023120,96120,96120,96120,96120,968
15 dic 2023------
14 dic 2023------
13 dic 2023------
12 dic 2023------
12 dic 20234.63 Dividendo
11 dic 2023------
08 dic 2023------
07 dic 2023------
06 dic 2023------
05 dic 2023------
04 dic 2023------
01 dic 2023------
30 nov 2023------
29 nov 2023------
28 nov 2023------
27 nov 2023------
24 nov 2023------
*Prezzo di chiusura aggiustato per frazionamenti.**Prezzo di chiusura rettificato per frazionamenti e distribuzioni di dividendi o guadagno in conto di capitale.
Caricamento di altri dati in corso...