Schroder International Selection Fund European Value A Distribution EUR AV
WKN A0CATJ | ISIN LU0191612000 | Fonds
| Name | Aktuell | Zeit | Vortag | Diff. % | Diff. | Vol. Stk. | |
|---|---|---|---|---|---|---|---|
| Berlin | 66,15 EUR | 30.12.25 | 65,69 | - | - | 0 |
|
| Düsseldorf | 69,93 EUR | 17:46 | 69,18 | +1,09 % | +0,75 | 0 |
|
| Frankfurt | 69,94 EUR | 18:10 | 69,18 | +1,10 % | +0,76 | 0 |
|
| Hamburg | 69,80 EUR | 08:19 | 70,06 | -0,37 % | -0,26 | 0 |
|
| München | 70,06 EUR | 08:04 | 70,06 | +0,00 % | +0,00 | 0 |
|
| Baader Bank (Baadex) | 69,95 EUR | 17:46 | 69,25 | +1,01 % | +0,70 | - |
|
| Fonds | 70,94 EUR | 04.05.26 | 70,25 | +0,98 % | +0,69 | - |
|
| Stuttgart | 69,93 EUR | 13:45 | 69,25 | +0,98 % | +0,68 | - |
|