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Hang Seng HSI Daily (1.5x) Leveraged Fund A (0P00002C2Z.HK)

HKSE - HKSE Prezzo differito. Valuta in HKD.
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16,450-0,040 (-0,24%)
Alla chiusura: 04:00AM HKT
Mostra:
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Frequenza:
Giornaliero
Valuta in HKD
DataApertoAltoBassoChiusura*Chiusura aggiustata**Volume
20 mag 2022------
19 mag 202215,89015,89015,89015,89015,890-
18 mag 202216,45016,45016,45016,45016,450-
17 mag 202216,49016,49016,49016,49016,490-
16 mag 2022------
13 mag 202215,60015,60015,60015,60015,600-
12 mag 202214,99014,99014,99014,99014,990-
11 mag 202215,58015,58015,58015,58015,580-
10 mag 202215,28015,28015,28015,28015,280-
06 mag 202215,75015,75015,75015,75015,750-
05 mag 202216,70016,70016,70016,70016,700-
04 mag 202216,78016,78016,78016,78016,780-
03 mag 202217,06017,06017,06017,06017,060-
29 apr 202217,11017,11017,11017,11017,110-
28 apr 202216,10016,10016,10016,10016,100-
27 apr 202215,72015,72015,72015,72015,720-
26 apr 202215,71015,71015,71015,71015,710-
25 apr 202215,62015,62015,62015,62015,620-
22 apr 202216,52016,52016,52016,52016,520-
21 apr 202216,58016,58016,58016,58016,580-
20 apr 202216,91016,91016,91016,91016,910-
19 apr 202217,00017,00017,00017,00017,000-
14 apr 202217,63017,63017,63017,63017,630-
13 apr 202217,41017,41017,41017,41017,410-
12 apr 202217,37017,37017,37017,37017,370-
11 apr 202217,20017,20017,20017,20017,200-
08 apr 202218,12018,12018,12018,12018,120-
07 apr 202218,01018,01018,01018,01018,010-
06 apr 202218,33018,33018,33018,33018,330-
04 apr 202218,85018,85018,85018,85018,850-
01 apr 202218,28018,28018,28018,28018,280-
31 mar 202218,28018,28018,28018,28018,280-
30 mar 202218,50018,50018,50018,50018,500-
29 mar 202218,16018,16018,16018,16018,160-
28 mar 202217,92017,92017,92017,92017,920-
25 mar 202217,48017,48017,48017,48017,480-
24 mar 202218,17018,17018,17018,17018,170-
23 mar 202218,41018,41018,41018,41018,410-
22 mar 202218,14018,14018,14018,14018,140-
21 mar 202217,31017,31017,31017,31017,310-
18 mar 202217,60017,60017,60017,60017,600-
17 mar 202217,62017,62017,62017,62017,620-
16 mar 2022------
15 mar 202214,04014,04014,04014,04014,040-
14 mar 202215,49015,49015,49015,49015,490-
11 mar 202216,62016,62016,62016,62016,620-
10 mar 202216,98016,98016,98016,98016,980-
09 mar 202216,63016,63016,63016,63016,630-
08 mar 202216,90016,90016,90016,90016,900-
07 mar 202217,12017,12017,12017,12017,120-
04 mar 202218,23018,23018,23018,23018,230-
03 mar 202218,92018,92018,92018,92018,920-
02 mar 202218,84018,84018,84018,84018,840-
01 mar 202219,24019,24019,24019,24019,240-
28 feb 202219,28019,28019,28019,28019,280-
25 feb 202219,31019,31019,31019,31019,310-
24 feb 202219,50019,50019,50019,50019,500-
23 feb 202220,50020,50020,50020,50020,500-
22 feb 202220,32020,32020,32020,32020,320-
21 feb 202221,16021,16021,16021,16021,160-
18 feb 202221,36021,36021,36021,36021,360-
17 feb 202221,91021,91021,91021,91021,910-
16 feb 202221,87021,87021,87021,87021,870-
15 feb 202221,47021,47021,47021,47021,470-
14 feb 202221,60021,60021,60021,60021,600-
11 feb 202222,07022,07022,07022,07022,070-
10 feb 202222,19022,19022,19022,19022,190-
09 feb 202222,03022,03022,03022,03022,030-
08 feb 202221,40021,40021,40021,40021,400-
07 feb 202221,61021,61021,61021,61021,610-
04 feb 202221,69021,69021,69021,69021,690-
31 gen 202220,78020,78020,78020,78020,780-
28 gen 202220,28020,28020,28020,28020,280-
27 gen 202220,66020,66020,66020,66020,660-
26 gen 202221,31021,31021,31021,31021,310-
25 gen 202221,25021,25021,25021,25021,250-
24 gen 202221,82021,82021,82021,82021,820-
21 gen 202222,15022,15022,15022,15022,150-
20 gen 202222,23022,23022,23022,23022,230-
19 gen 202221,06021,06021,06021,06021,060-
18 gen 202221,09021,09021,09021,09021,090-
17 gen 202221,25021,25021,25021,25021,250-
14 gen 202221,48021,48021,48021,48021,480-
13 gen 202221,57021,57021,57021,57021,570-
12 gen 202221,44021,44021,44021,44021,440-
11 gen 202220,61020,61020,61020,61020,610-
10 gen 202220,61020,61020,61020,61020,610-
07 gen 202220,32020,32020,32020,32020,320-
06 gen 202219,81019,81019,81019,81019,810-
05 gen 202219,59019,59019,59019,59019,590-
04 gen 202220,07020,07020,07020,07020,070-
03 gen 202220,05020,05020,05020,05020,050-
31 dic 202120,27020,27020,27020,27020,270-
30 dic 202119,89019,89019,89019,89019,890-
29 dic 202119,90019,90019,90019,90019,900-
28 dic 202120,10020,10020,10020,10020,100-
24 dic 202119,98019,98019,98019,98019,980-
23 dic 202119,95019,95019,95019,95019,950-
22 dic 202119,81019,81019,81019,81019,810-
21 dic 202119,67019,67019,67019,67019,670-
*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...