ADVFN Logo ADVFN

Wir konnten keine Ergebnisse für:
Stelle sicher, dass deine Schreibweise korrekt ist oder versuche deine Suche zu erweitern.

Trends

Toplisten

Es scheint, dass du nicht eingeloggt bist.
Klicke auf den Button unten, um dich einzuloggen und deine zuletzt angesehenen Aktien zu sehen.

Hot Features

Registration Strip Icon for charts Registrieren Sie sich für Echtzeit-Charts, Analysetools und Preise.

IBTA I $ Tr Bd 1-3 A

5,431
-0,003 (-0,06%)
17 Mai 2024 - Geschlossen
Verzögert um 15 Minuten
Name Symbol Markt Aktientyp
I $ Tr Bd 1-3 A IBTA London Exchange Traded Fund
  Änderung Änderung % Aktuell Zeit
-0,003 -0,06% 5,431 17:35:15
Handelsbeginn Niedrig Hoch Schlusskurs Handelsende
5,432 5,4285 5,4325 5,431 5,434
more quote information »

Aktuelle News

Datum Zeit Quelle Überschrift
17.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
16.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
15.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
14.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
13.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
10.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
09.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
08.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
07.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
03.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
02.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
01.5.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
30.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
29.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
26.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
25.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
24.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
23.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
22.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
19.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
18.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
17.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
16.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
15.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
12.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
11.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
10.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
09.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
08.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
05.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
04.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
03.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
02.4.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
28.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
27.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
26.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
25.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
22.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
21.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
20.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
19.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
18.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
15.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
14.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
13.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
12.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
11.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
08.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
07.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)
06.3.202408:10UK RNSiShares PLC $ Tr Bond 1-3 UCITS $ Net Asset Value(s)