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NAVF Nippon Active Value Fund Plc

172.00
1.00 (0.58%)
2024年5月4日 - 終了
15分遅延
名称 銘柄コード 市場 種別
Nippon Active Value Fund Plc NAVF ロンドン Ordinary Share
  前日比 前日比 % 現在値 時刻
1.00 0.58% 172.00 00:29:59
始値 安値 高値 終値 前日終値
170.00 170.00 172.50 172.00 171.00
この銘柄の詳細情報 »
業種
EQUITY INVESTMENT INSTRUMENTS

最新ニュース

日付 時間 ソース タイトル
2024/5/0320:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/5/0220:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/5/0120:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/3020:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/2920:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/2620:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/2520:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/2420:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/2320:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/2220:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/1920:18UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/1819:49UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/1720:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/1620:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/1520:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/1220:30UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/1120:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/1019:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/0920:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/0919:20UK RNSNippon Active Value Fund PLC Monthly Factsheet
2024/4/0915:00UK RNSNippon Active Value Fund PLC Director/PDMR Shareholding
2024/4/0820:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/0520:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/0420:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/0321:32ALNCNewsIN BRIEF: Nippon Active Value NAV rises but slashes dividend
2024/4/0320:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/4/0315:01UK RNSNippon Active Value Fund PLC Dividend Declaration
2024/4/0315:00UK RNSNippon Active Value Fund PLC Final Results
2024/4/0220:20UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/2819:42UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/2721:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/2621:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/2519:41UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/2221:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/2121:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/2021:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/1921:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/1821:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/1521:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/1421:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/1321:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/1301:38UK RNSNippon Active Value Fund PLC Monthly Factsheet
2024/3/1221:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/1121:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/0821:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/0721:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/0623:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/0521:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/0421:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)
2024/3/0121:00UK RNSNippon Active Value Fund PLC Net Asset Value(s)

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