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Name | Symbol | Market | Type |
---|---|---|---|
Hsbc Icav Gl Su | LSE:HSGU | London | Exchange Traded Fund |
Price Change | % Change | Price | Bid Price | Offer Price | |
---|---|---|---|---|---|
0.00 | 0.00% | 10.718 | 10.708 | 10.728 |
High Price | Low Price | Open Price | Traded | Last Trade |
---|---|---|---|---|
0 | 16:29:34 |
Date | Time | Source | Headline |
---|---|---|---|
04/2/2025 | 08:21 | UK RNS | HSBC GF ICAV GL Sus Gov Bond ETF $ Net Asset Value(s) |
03/2/2025 | 08:33 | UK RNS | HSBC GF ICAV GL Sus Gov Bond ETF $ Net Asset Value(s) |
31/1/2025 | 08:15 | UK RNS | HSBC GF ICAV GL Sus Gov Bond ETF $ Net Asset Value(s) |
30/1/2025 | 08:27 | UK RNS | HSBC GF ICAV GL Sus Gov Bond ETF $ Net Asset Value(s) |
29/1/2025 | 07:59 | UK RNS | HSBC GF ICAV GL Sus Gov Bond ETF $ Net Asset Value(s) |
28/1/2025 | 08:36 | UK RNS | HSBC GF ICAV GL Sus Gov Bond ETF $ Net Asset Value(s) |
27/1/2025 | 08:44 | UK RNS | HSBC GF ICAV GL Sus Gov Bond ETF $ Net Asset Value(s) |
24/1/2025 | 08:14 | UK RNS | HSBC GF ICAV GL Sus Gov Bond ETF $ Net Asset Value(s) |
23/1/2025 | 08:17 | UK RNS | HSBC GF ICAV GL Sus Gov Bond ETF $ Net Asset Value(s) |
22/1/2025 | 08:31 | UK RNS | HSBC GF ICAV GL Sus Gov Bond ETF $ Net Asset Value(s) |
1 Year Hsbc Icav Gl Su Chart |
Intraday Hsbc Icav Gl Su Chart |
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