ADVFN Logo ADVFN

Hot Features

Registration Strip Icon for default 무료로 등록하여 실시간 주식 시세, 대화형 차트, 실시간 옵션 플로우 등을 받아보세요.

HSGG Hsbc Icav Gl Su

10.196
-0.027 (-0.26%)
18 5월(5) 2024 - 마감
15분 지연
기업명 Etf 심볼 시장 주식 타입
Hsbc Icav Gl Su HSGG 런던 상장지수펀드 (ETF)
  가격 변동 가격 변동 % Etf 가격 최근 거래 시간
-0.027 -0.26% 10.196 00:35:21
개장가 저가 고가 종가 전일 종가
10.196 10.223
시세 정보 더보기 »

최근 뉴스

일자 시간 출처 제목
17/05/202421:18UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
16/05/202416:16UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
15/05/202416:30UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
14/05/202416:48UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
13/05/202416:32UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
10/05/202416:30UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
09/05/202416:38UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
08/05/202416:51UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
03/05/202416:08UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
01/05/202416:42UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
29/04/202416:08UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
26/04/202416:18UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
25/04/202416:26UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
24/04/202416:17UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
23/04/202416:27UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
22/04/202416:09UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
19/04/202416:55UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
18/04/202416:13UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
17/04/202416:08UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
16/04/202416:27UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
15/04/202416:19UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
12/04/202416:28UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
11/04/202416:12UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
10/04/202416:21UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
09/04/202416:20UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
08/04/202416:37UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
05/04/202418:02UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
04/04/202416:30UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
03/04/202416:25UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
02/04/202416:26UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
28/03/202417:05UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
27/03/202418:19UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
26/03/202417:41UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
25/03/202417:57UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
22/03/202417:37UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
20/03/202417:26UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
19/03/202417:36UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
18/03/202418:17UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
15/03/202417:17UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
14/03/202417:58UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
13/03/202417:18UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
12/03/202417:16UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
11/03/202417:21UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
08/03/202417:00UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
07/03/202417:05UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
06/03/202417:13UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
05/03/202417:25UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
04/03/202417:10UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
01/03/202417:12UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)
29/02/202417:12UK RNSHSBC GF ICAV GL Sus Gov Bond ETF £ Net Asset Value(s)