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Japan Metropolitan Fund Investment Corporation (59JA.F)

Frankfurt - Frankfurt Prezzo differito. Valuta in EUR.
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565,000,00 (0,00%)
Alla chiusura: 05:15PM CEST
Periodo di tempo:
12 mag 2023 - 12 mag 2024
Mostra:
Prezzi storici
Frequenza:
Giornaliero
Valuta in EURScarica
DataApertoAltoBassoChiusura*Chiusura aggiustata**Volume
10 mag 2024560,00565,00560,00565,00565,00-
09 mag 2024570,00570,00565,00565,00565,00-
08 mag 2024560,00560,00560,00560,00560,00-
07 mag 2024570,00575,00570,00575,00575,00-
06 mag 2024585,00585,00585,00585,00585,00-
03 mag 2024590,00590,00590,00590,00590,00-
02 mag 2024580,00590,00580,00590,00590,00-
30 apr 2024570,00570,00570,00570,00570,00-
29 apr 2024565,00565,00565,00565,00565,00-
26 apr 2024565,00565,00565,00565,00565,00-
25 apr 2024570,00570,00565,00570,00570,00-
24 apr 2024570,00570,00570,00570,00570,00-
23 apr 2024580,00580,00580,00580,00580,00-
22 apr 2024580,00585,00580,00585,00585,00-
19 apr 2024550,00560,00550,00560,00560,00-
18 apr 2024545,00550,00545,00550,00550,00-
17 apr 2024560,00560,00555,00555,00555,00-
16 apr 2024560,00560,00560,00560,00560,00-
15 apr 2024560,00560,00560,00560,00560,00-
12 apr 2024550,00555,00550,00555,00555,00-
11 apr 2024560,00565,00560,00565,00565,00-
10 apr 2024560,00560,00560,00560,00560,00-
09 apr 2024565,00565,00565,00565,00565,00-
08 apr 2024555,00555,00555,00555,00555,00-
05 apr 2024545,00545,00545,00545,00545,00-
04 apr 2024550,00550,00550,00550,00550,00-
03 apr 2024555,00555,00550,00550,00550,00-
02 apr 2024560,00560,00560,00560,00560,00-
28 mar 2024565,00565,00565,00565,00565,00-
27 mar 2024570,00570,00570,00570,00570,00-
26 mar 2024565,00570,00565,00570,00570,00-
25 mar 2024565,00565,00565,00565,00565,00-
22 mar 2024570,00570,00570,00570,00570,00-
21 mar 2024560,00560,00560,00560,00560,00-
20 mar 2024555,00555,00555,00555,00555,00-
19 mar 2024560,00560,00555,00555,00555,00-
18 mar 2024545,00545,00545,00545,00545,00-
15 mar 2024555,00555,00550,00550,00550,00-
14 mar 2024545,00545,00545,00545,00545,00-
13 mar 2024535,00535,00535,00535,00535,00-
12 mar 2024540,00540,00540,00540,00540,00-
11 mar 2024545,00550,00545,00550,00550,00-
08 mar 2024540,00540,00540,00540,00540,00-
07 mar 2024535,00540,00535,00535,00535,00-
06 mar 2024545,00545,00545,00545,00545,00-
05 mar 2024530,00535,00530,00535,00535,00-
04 mar 2024525,00525,00525,00525,00525,00-
01 mar 2024530,00530,00530,00530,00530,00-
29 feb 2024535,00535,00535,00535,00535,00-
28 feb 2024535,00535,00535,00535,00535,00-
28 feb 20242270 Dividendo
27 feb 2024550,00550,00550,00550,00-1.720,00-
26 feb 2024535,00535,00535,00535,00-1.673,09-
23 feb 2024560,00575,00545,00545,00-1.704,363
22 feb 2024570,00570,00570,00570,00-1.782,55-
21 feb 2024555,00580,00555,00580,00-1.813,82-
20 feb 2024550,00560,00550,00560,00-1.751,27-
19 feb 2024555,00560,00555,00560,00-1.751,27-
16 feb 2024565,00565,00565,00565,00-1.766,91-
15 feb 2024580,00580,00575,00575,00-1.798,18-
14 feb 2024585,00585,00585,00585,00-1.829,45-
13 feb 2024585,00585,00585,00585,00-1.829,45-
12 feb 2024590,00590,00590,00590,00-1.845,09-
09 feb 2024590,00590,00590,00590,00-1.845,09-
08 feb 2024590,00590,00590,00590,00-1.845,09-
07 feb 2024595,00595,00595,00595,00-1.860,73-
06 feb 2024600,00600,00600,00600,00-1.876,36-
05 feb 2024610,00610,00610,00610,00-1.907,64-
02 feb 2024615,00615,00615,00615,00-1.923,27-
01 feb 2024615,00615,00615,00615,00-1.923,27-
31 gen 2024615,00620,00615,00620,00-1.938,91-
30 gen 2024615,00615,00610,00610,00-1.907,64-
29 gen 2024610,00610,00610,00610,00-1.907,64-
26 gen 2024615,00615,00610,00610,00-1.907,64-
25 gen 2024610,00615,00610,00615,00-1.923,27-
24 gen 2024615,00615,00615,00615,00-1.923,27-
23 gen 2024615,00615,00615,00615,00-1.923,27-
22 gen 2024615,00620,00615,00620,00-1.938,91-
19 gen 2024610,00610,00610,00610,00-1.907,64-
18 gen 2024610,00615,00610,00615,00-1.923,27-
17 gen 2024625,00625,00625,00625,00-1.954,55-
16 gen 2024630,00630,00630,00630,00-1.970,18-
15 gen 2024640,00640,00635,00635,00-1.985,82-
12 gen 2024630,00630,00630,00630,00-1.970,18-
11 gen 2024630,00630,00630,00630,00-1.970,18-
10 gen 2024630,00630,00625,00625,00-1.954,55-
09 gen 2024635,00635,00635,00635,00-1.985,82-
08 gen 2024635,00635,00635,00635,00-1.985,82-
05 gen 2024635,00635,00635,00635,00-1.985,82-
04 gen 2024625,00625,00625,00625,00-1.954,55-
03 gen 2024640,00640,00640,00640,00-2.001,45-
02 gen 2024640,00640,00600,00600,00-1.876,36-
29 dic 2023640,00640,00600,00600,00-1.876,36-
28 dic 2023635,00635,00635,00635,00-1.985,82-
27 dic 2023620,00620,00620,00620,00-1.938,91-
22 dic 2023630,00630,00630,00630,00-1.970,182
21 dic 2023620,00620,00620,00620,00-1.938,91-
20 dic 2023620,00620,00620,00620,00-1.938,91-
19 dic 2023620,00620,00620,00620,00-1.938,91-
18 dic 2023635,00635,00635,00635,00-1.985,82-
*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...