Shares
Name
Last
High
Low
Chg
Chg%
Volume
Time
Trevi Fin Industriale 0.4000 0.4030 0.3860 +0.0050 +1.27% 1.89M
Azimut Holding 20.090 20.150 19.790 +0.560 +2.87% 275.95K
Nexi 7.308 7.318 7.146 +0.218 +3.07% 970.04K
Campari 10.7700 10.9450 10.7600 -0.1150 -1.06% 555.31K
Iveco NV 8.740 8.755 8.566 +0.218 +2.56% 294.30K
Saras 1.500 1.510 1.421 +0.092 +6.53% 9.94M
Gentili Mosconi 3.67 3.77 3.61 -0.09 -2.26% 8.81K
Tessellis 0.5708 0.5878 0.5660 +0.0008 +0.14% 376.27K
Interpump 50.550 50.600 49.940 +0.890 +1.79% 32.90K
Banca Generali 29.81 29.89 28.94 +0.99 +3.44% 128.92K
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Name
Month
Last
High
Low
Chg
Chg%
Time
NCDEX Jeera Apr 23 33,500.00 33,610.00 32,810.00 +190.00 +0.57%
NCDEX Coriander Apr 23 7,016.00 7,140.00 6,920.00 -140.00 -1.96%
NCDEX Guar Gum Apr 23 11,825.00 11,880.00 11,200.00 +487.00 +4.30%
NCDEX Soybean Jul 22 6,270.00 6,270.00 6,270.00 -65.00 -1.03%
MCX Gold 1 Kg Apr 23 59,195 59,705 59,092 -311 -0.52%
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Symbol
USD
EUR
GBP
JPY
CHF
CAD
AUD
USD
1 0.9295 0.8162 132.27 0.9253 1.3666 1.4968
EUR
1.0758 1 0.8779 142.29 0.9953 1.4700 1.6103
GBP
1.2254 1.1391 1 162.10 1.1337 1.6745 1.8340
JPY
0.755950 0.70260 0.006169 1 0.6995 0.01033 0.01131
CHF
1.0807 1.0045 0.8821 142.97 1 1.4767 1.6176
CAD
0.7319 0.6801 0.5972 96.79 0.6770 1 1.0953
AUD
0.6680 0.6210 0.5453 88.38 0.6182 0.9129 1
Please try another search
Name
Symbol
Last
Chg%
Volume
Time
Lyxor Core MSCI Japan (DR) LCJP 13.19 +0.12% 949.00
MSCI Japan UCITS(JPY)A-acc JPNA 17.48 +0.15% 19.83K
UBS ETF MSCI Japan UCITS JPY A-dis JPNEUA 41.72 +0.19% 8.23K
UBS MSCI Japan Socially Responsible JPY A-dis JPSR 19.76 0.00% 39.00
iShares Core S&P 500 UCITS CSSPX 384.25 +0.88% 3.90K
Please try another search
Name
Symbol
Last
Chg%
Total Assets
Time
Janus Henderson Capital Funds plc - Balanced Fund 0P00000IQE 32.420 +0.19% 6.78B
Eurizon Fund - Azioni Strategia Flessibile Class U 0P0000Q7VP 162.830 -0.78% 5.98B
Alleanza Obbligazionario A 0P00000UCL 4.742 +0.36% 5.27B
First Eagle Amundi International Fund Class AE-QD 0P0000RXYS 128.340 -0.70% 5.32B
First Eagle Amundi International Fund Class FHE-C 0P0000M2UJ 136.270 -0.48% 5.32B
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