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Gestión Boutique Vii Azagala Fi (0P0001I2CI)

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11.213 -0.070    -0.59%
22/06 - Delayed Data. Currency in EUR ( Disclaimer )
Type:  Fund
Market:  Spain
Issuer:  Esfera Capital Gestión SGIIC
ISIN:  ES0131444111 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 5.9M
Gestion Boutique VII Azagala 11.213 -0.070 -0.59%
Time Frame:
05/27/2022 - 06/27/2022
 
Date Price Open High Low Change %
Jun 22, 2022 11.213 11.213 11.213 11.213 -0.59%
Jun 21, 2022 11.279 11.279 11.279 11.279 -0.07%
Jun 20, 2022 11.287 11.287 11.287 11.287 0.10%
Jun 17, 2022 11.276 11.276 11.276 11.276 1.37%
Jun 16, 2022 11.123 11.123 11.123 11.123 -3.49%
Jun 15, 2022 11.525 11.525 11.525 11.525 0.81%
Jun 14, 2022 11.433 11.433 11.433 11.433 -0.73%
Jun 13, 2022 11.517 11.517 11.517 11.517 -2.81%
Jun 10, 2022 11.849 11.849 11.849 11.849 -1.52%
Jun 09, 2022 12.032 12.032 12.032 12.032 -0.94%
Jun 08, 2022 12.146 12.146 12.146 12.146 -0.80%
Jun 07, 2022 12.244 12.244 12.244 12.244 0.40%
Jun 06, 2022 12.195 12.195 12.195 12.195 0.18%
Jun 03, 2022 12.173 12.173 12.173 12.173 -1.07%
Jun 02, 2022 12.305 12.305 12.305 12.305 1.29%
Jun 01, 2022 12.148 12.148 12.148 12.148 -0.27%
May 31, 2022 12.181 12.181 12.181 12.181 -0.71%
May 30, 2022 12.269 12.269 12.269 12.269 0.45%
May 27, 2022 12.213 12.213 12.213 12.213 1.79%
Highest: 12.305 Lowest: 11.123 Difference: 1.183 Average: 11.811 Change %: -6.547
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