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0017N Natixis Structured Issuance Sa null

94.07
0.00 (0.00%)
24 Jan 2025 - Closed
Delayed by 15 minutes
Data Download:
Daily CSV Intraday CSV
Name Symbol Market Type
Natixis Structured Issuance Sa null EU:0017N Euronext Bond
  Price Change % Change Price Bid Price Offer Price
  0.00 0.00% 94.07 95.22 90.40
High Price Low Price Open Price Traded Last Trade
0 16:00:01

Natixis Structured Issua... (0017N) 1 Month Price History

Date Price Price Change Price % Change Low Price High Price Traded
24 Jan 202594.070.000.00%94.0794.070
23 Jan 202594.070.000.00%94.0794.070
22 Jan 202594.070.000.00%94.0794.070
21 Jan 202594.070.000.00%94.0794.070
20 Jan 202594.070.000.00%94.0794.070
17 Jan 202594.070.000.00%94.0794.070
16 Jan 202594.070.000.00%94.0794.070
15 Jan 202594.070.000.00%94.0794.070
14 Jan 202594.070.000.00%94.0794.070
13 Jan 202594.070.000.00%94.0794.070
10 Jan 202594.070.000.00%94.0794.070
09 Jan 202594.070.000.00%94.0794.070
08 Jan 202594.07-12.11-11.41%94.0794.0712,000
07 Jan 2025106.180.000.00%106.18106.180
06 Jan 2025106.180.000.00%106.18106.180
03 Jan 2025106.180.000.00%106.18106.180
02 Jan 2025106.180.000.00%106.18106.180
31 Dec 2024106.180.000.00%106.18106.180
30 Dec 2024106.180.000.00%106.18106.180
27 Dec 2024106.180.000.00%106.18106.180
Download more Natixis Structured Issuance Sa null Historical Data

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