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iShares ESG Screened Global Corporate Bond Index Fund (IE) (0P0001JAFQ.F)

Frankfurt - Frankfurt Delayed price. Currency in EUR
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9.83-0.02 (-0.20%)
At close: 10:00PM CEST
Time period:
05 Oct 2023 - 05 Oct 2024
Show:
Historical prices
Frequency:
Daily
Currency in EURDownload
DateOpenHighLowClose*Adj. close**Volume
04 Oct 2024------
03 Oct 20249.819.819.819.819.81-
02 Oct 20249.839.839.839.839.83-
01 Oct 20249.859.859.859.859.85-
30 Sept 20249.829.829.829.829.82-
27 Sept 20249.839.839.839.839.83-
26 Sept 20249.819.819.819.819.81-
25 Sept 20249.819.819.819.819.81-
24 Sept 20249.849.849.849.849.84-
23 Sept 20249.839.839.839.839.83-
20 Sept 20249.829.829.829.829.82-
19 Sept 20249.839.839.839.839.83-
18 Sept 20249.829.829.829.829.82-
17 Sept 20249.849.849.849.849.84-
16 Sept 20249.859.859.859.859.85-
13 Sept 20249.829.829.829.829.82-
12 Sept 20249.809.809.809.809.80-
11 Sept 20249.819.819.819.819.81-
10 Sept 20249.819.819.819.819.81-
09 Sept 20249.799.799.799.799.79-
06 Sept 20249.789.789.789.789.78-
05 Sept 20249.779.779.779.779.77-
04 Sept 20249.759.759.759.759.75-
03 Sept 20249.719.719.719.719.71-
02 Sept 2024------
30 Aug 20249.689.689.689.689.68-
29 Aug 20249.709.709.709.709.70-
28 Aug 20249.719.719.719.719.71-
27 Aug 20249.719.719.719.719.71-
26 Aug 2024------
23 Aug 20249.729.729.729.729.72-
22 Aug 20249.699.699.699.699.69-
21 Aug 20249.729.729.729.729.72-
20 Aug 20249.719.719.719.719.71-
19 Aug 20249.699.699.699.699.69-
16 Aug 20249.679.679.679.679.67-
15 Aug 20249.669.669.669.669.66-
14 Aug 20249.689.689.689.689.68-
13 Aug 20249.669.669.669.669.66-
12 Aug 20249.639.639.639.639.63-
09 Aug 20249.619.619.619.619.61-
08 Aug 20249.589.589.589.589.58-
07 Aug 20249.599.599.599.599.59-
06 Aug 20249.619.619.619.619.61-
05 Aug 20249.659.659.659.659.65-
02 Aug 20249.679.679.679.679.67-
01 Aug 20249.619.619.619.619.61-
31 Jul 20249.599.599.599.599.59-
30 Jul 20249.559.559.559.559.55-
29 Jul 20249.549.549.549.549.54-
26 Jul 20249.529.529.529.529.52-
25 Jul 20249.499.499.499.499.49-
24 Jul 20249.489.489.489.489.48-
23 Jul 20249.509.509.509.509.50-
22 Jul 20249.499.499.499.499.49-
19 Jul 20249.509.509.509.509.50-
18 Jul 20249.529.529.529.529.52-
17 Jul 20249.549.549.549.549.54-
16 Jul 20249.549.549.549.549.54-
15 Jul 20249.519.519.519.519.51-
12 Jul 20249.529.529.529.529.52-
11 Jul 20249.519.519.519.519.51-
10 Jul 20249.479.479.479.479.47-
09 Jul 20249.469.469.469.469.46-
08 Jul 20249.479.479.479.479.47-
05 Jul 20249.479.479.479.479.47-
04 Jul 2024------
03 Jul 20249.439.439.439.439.43-
02 Jul 20249.399.399.399.399.39-
01 Jul 20249.369.369.369.369.36-
28 Jun 20249.409.409.409.409.40-
27 Jun 20249.439.439.439.439.43-
26 Jun 20249.429.429.429.429.42-
25 Jun 20249.459.459.459.459.45-
24 Jun 20249.459.459.459.459.45-
21 Jun 20249.449.449.449.449.44-
20 Jun 20249.449.449.449.449.44-
19 Jun 2024------
18 Jun 20249.469.469.469.469.46-
17 Jun 20249.439.439.439.439.43-
14 Jun 20249.479.479.479.479.47-
13 Jun 20249.459.459.459.459.45-
12 Jun 20249.429.429.429.429.42-
11 Jun 20249.399.399.399.399.39-
10 Jun 20249.369.369.369.369.36-
07 Jun 20249.379.379.379.379.37-
06 Jun 20249.439.439.439.439.43-
05 Jun 20249.449.449.449.449.44-
04 Jun 20249.429.429.429.429.42-
03 Jun 20249.399.399.399.399.39-
31 May 20249.359.359.359.359.35-
30 May 20249.329.329.329.329.32-
29 May 20249.299.299.299.299.29-
28 May 20249.329.329.329.329.32-
27 May 2024------
24 May 20249.349.349.349.349.34-
23 May 20249.349.349.349.349.34-
22 May 20249.379.379.379.379.37-
21 May 20249.389.389.389.389.38-
20 May 20249.369.369.369.369.36-
*Close price adjusted for splits.**Close price adjusted for splits and dividend and/or capital gain distributions.
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