Bloomberg Japan Treasury 1 - 3 Year Bond UCITS ETF Capitalisation WKN: A2PX96 ISIN: LU2098179695
Bloomberg Japan Treasury 1 - 3 Year Bond UCITS ETF Capitalisation • Kurs heute
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Kursdetails
| Eröffnung | 6,266 |
|---|---|
| Vortag | 6,266 |
| Tageshoch | 6,280 |
| Tagestief | 6,231 |
| 52W Hoch | 6,758 |
| 52W Tief | 6,165 |
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Geld/Brief Kurse
Neu laden| Börse | Geld | Vol. | Brief | Vol. | Zeit | Vol. ges. | Kurs |
|---|---|---|---|---|---|---|---|
| Xetra | 1781222400 12. Jun | 6,267 EUR | |||||
| Societe Generale | 6,211 | 6,303 | 1781537987 15. Jun | 6,257 EUR | |||
| L&S Exchange | 6,253 | 7.989 Stk | 6,266 | 7.989 Stk | 1781557187 15. Jun | 6,260 EUR | |
| Baader Bank | 6,253 | 6,266 | 4.399 Stk | 1781546834 15. Jun | 6,259 EUR | ||
| SIX Swiss (JPY) | 1.154,550 | 16.748 Stk | 1.170,900 | 16.748 Stk | 1781507145 15. Jun | 1.330 Stk | 1.163,500 JPY |
| Tradegate | 6,246 | 3.410 Stk | 6,268 | 3.410 Stk | 1781555125 15. Jun | 14.018 Stk | 6,257 EUR |
| Lang & Schwarz | 6,253 | 7.989 Stk | 6,266 | 7.989 Stk | 1781557183 15. Jun | 16.000 Stk | 6,260 EUR |
| London | 5,401 | 1.299 Stk | 5,440 | 350 Stk | 1781535980 15. Jun | 42.146 Stk | 5,402 GBP |
| KAG Kurs | 1781222400 12. Jun | 1.161,905 JPY | |||||
| Düsseldorf | 6,253 | 16.000 Stk | 6,266 | 16.000 Stk | 1781514319 15. Jun | 6,254 EUR | |
| Hamburg | 6,186 | 1.800 Stk | 6,328 | 1.700 Stk | 1781504206 15. Jun | 6,190 EUR | |
| München | 6,253 | 2.000 Stk | 6,266 | 2.000 Stk | 1781503887 15. Jun | 6,280 EUR | |
| Stuttgart | 6,253 | 23.989 Stk | 6,267 | 23.937 Stk | 1781553383 15. Jun | 270 Tsd. Stk | 6,253 EUR |
| BX Swiss | 5,757 | 5.403 Stk | 5,760 | 5.403 Stk | 1781278193 12. Jun | 5,774 CHF | |
| Gettex | 6,252 | 2.000 Stk | 6,266 | 2.000 Stk | 1781527640 15. Jun | 6,252 EUR | |
| Quotrix Düsseldorf | 6,253 | 3.998 Stk | 6,266 | 3.990 Stk | 1781553784 15. Jun | 6,260 EUR | ges. 343.894 Stk |
Realtime / Verzögert
Stammdaten
| Name | Bloomberg Japan Treasury 1 - 3 Year Bond UCITS ETF Capitalisation |
|---|---|
| Fondsgesellschaft | |
| ISIN | LU2098179695 |
| WKN | A2PX96 |
| Fonds-Art | |
| Fonds-Typ | |
| Währung | |
| Auflagedatum | 01.01.1970 |
| Fondsalter | 56 Jahre |
| Volumen | 0 (01.01.1970) |
| Ausschüttungsart | |
| Geschäftsjahr | 17.06. - 16.06. |
| Fondsmanager | |
| Verwahrstelle | |
| Zahlstelle | |
| Benchmark |
Gebühren und Konditionen
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|---|---|
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| Kontakt |
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