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Name | Symbol | Market | Type |
---|---|---|---|
Fid Sgc Bd Mf-i | LSE:FSMF | London | Exchange Traded Fund |
Bid Price | Offer Price | High Price | Low Price | Open Price | |
---|---|---|---|---|---|
4.083 | 4.0925 |
Last Trade Time | Trade Type | Trade Size | Trade Price | Currency |
---|---|---|---|---|
- | O | 0 | 4.0878 | USD |
Date | Time | Source | Headline |
---|---|---|---|
21/11/2024 | 07:31 | UKREG | FIL Sust Glb Corp Bnd PA MF ETF (USD) - Net Asset Value(s) |
20/11/2024 | 07:25 | UKREG | FIL Sust Glb Corp Bnd PA MF ETF (USD) - Net Asset Value(s) |
19/11/2024 | 07:44 | UKREG | FIL Sust Glb Corp Bnd PA MF ETF (USD) - Net Asset Value(s) |
18/11/2024 | 07:32 | UKREG | FIL Sust Glb Corp Bnd PA MF ETF (USD) - Net Asset Value(s) |
15/11/2024 | 07:07 | UKREG | FIL Sust Glb Corp Bnd PA MF ETF (USD) - Net Asset Value(s) |
14/11/2024 | 16:09 | UKREG | Fidelity UCITS ICAV - RE: Dividends |
14/11/2024 | 07:07 | UKREG | FIL Sust Glb Corp Bnd PA MF ETF (USD) - Net Asset Value(s) |
13/11/2024 | 07:07 | UKREG | FIL Sust Glb Corp Bnd PA MF ETF (USD) - Net Asset Value(s) |
12/11/2024 | 07:07 | UKREG | FIL Sust Glb Corp Bnd PA MF ETF (USD) - Net Asset Value(s) |
11/11/2024 | 07:07 | UKREG | FIL Sust Glb Corp Bnd PA MF ETF (USD) - Net Asset Value(s) |
Fid Sgc Bd Mf-i (FSMF) Charts1 Year Fid Sgc Bd Mf-i Chart |
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1 Month Fid Sgc Bd Mf-i Chart |
Intraday Fid Sgc Bd Mf-i Chart |
Trade Time | Trade Price | Trade Size | Trade Value | Trade Type |
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