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Exchange Trading Funds

Exchange Trading Funds (IUSE)

121.85
-1.60
(-1.30%)
終了 1月13日 1:30AM

リアルタイムのディスカッションと取引のアイデア: 当社の強力なプラットフォームで自信を持って取引できます。

主要統計と詳細

通貨
121.85
買値
121.43
売値
124.01
出来高
81,408
121.44 日の範囲 125.86
0.00 52 週間の範囲 0.00
前日終値
123.45
始値
123.68
最終取引時間
平均取引量 (3 か月)
-
財務取引量
-
VWAP
-

IUSE 最新ニュース

Net Asset Value(s)

RNS Number:6926P iShares PLC FTSE Euro Cons Non-Cyc. 11 September 2003 FUND: iShares FTSE Euro Non-Cyclicals DEALING DATE: 11-Sep-03 NAV PER SHARE: EUR 6.8682 NUMBER OF SHARES IN ISSUE:...

Net Asset Value(s)

RNS Number:6400P iShares PLC FTSE Euro Cons Non-Cyc. 10 September 2003 FUND: iShares FTSE Euro Non-Cyclicals DEALING DATE: 10-Sep-03 NAV PER SHARE: EUR 6.9576 NUMBER OF SHARES IN ISSUE:...

Net Asset Value(s)

RNS Number:5894P iShares PLC FTSE Euro Cons Non-Cyc. 9 September 2003 FUND: iShares FTSE Euro Non-Cyclicals DEALING DATE: 9-Sep-03 NAV PER SHARE: EUR 6.7757 NUMBER OF SHARES IN ISSUE:...

Net Asset Value(s)

RNS Number:5376P iShares PLC FTSE Euro Cons Non-Cyc. 8 September 2003 FUND: iShares FTSE Euro Non-Cyclicals DEALING DATE: 8-Sep-03 NAV PER SHARE: EUR 6.8841 NUMBER OF SHARES IN ISSUE:...

Net Asset Value(s)

RNS Number:4841P iShares PLC FTSE Euro Cons Non-Cyc. 5 September 2003 FUND: iShares FTSE Euro Non-Cyclicals DEALING DATE: 5-Sep-03 NAV PER SHARE: EUR 6.8537 NUMBER OF SHARES IN ISSUE:...

Net Asset Value(s)

RNS Number:4325P iShares PLC FTSE Euro Cons Non-Cyc. 4 September 2003 FUND: iShares FTSE Euro Non-Cyclicals DEALING DATE: 4-Sep-03 NAV PER SHARE: EUR 6.9070 NUMBER OF SHARES IN ISSUE:...

Net Asset Value(s)

RNS Number:3774P iShares PLC FTSE Euro Cons Non-Cyc. 3 September 2003 FUND: iShares FTSE Euro Non-Cyclicals DEALING DATE: 3-Sep-03 NAV PER SHARE: EUR 6.9228 NUMBER OF SHARES IN ISSUE:...

Net Asset Value(s)

RNS Number:3229P iShares PLC FTSE Euro Cons Non-Cyc. 2 September 2003 FUND: iShares FTSE Euro Non-Cyclicals DEALING DATE: 2-Sep-03 NAV PER SHARE: EUR 6.9014 NUMBER OF SHARES IN ISSUE:...

Net Asset Value(s)

RNS Number:2682P iShares PLC FTSE Euro Cons Non-Cyc. 1 September 2003 FUND: iShares FTSE Euro Non-Cyclicals DEALING DATE: 1-Sep-03 NAV PER SHARE: EUR 6.9019 NUMBER OF SHARES IN ISSUE:...

Net Asset Value(s)

RNS Number:2121P iShares PLC FTSE Euro Cons Non-Cyc. 30 August 2003 FUND: iShares FTSE Euro Non-Cyclicals DEALING DATE: 29-Aug-03 NAV PER SHARE: EUR 6.8485 NUMBER OF SHARES IN ISSUE:...

期間 †前日比前日比 %始値高値安値平均出来高VWAP
10000000SP
40000000SP
120000000SP
260000000SP
520000000SP
1560000000SP
2600000000SP

ムーバー

すべて表示
  • 出来高
  • 値上がり率
  • 値下がり率
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