UBS (Lux) Strategy Fund - Balanced P-C Fonds
Börsenplätze UBS (Lux) Strategy Fund - Balanced (EUR) P-C-dist Fonds
| Börse | Währung | Letzter | Vortag | +/- % | Spanne | Volumen | Zeit | Datum | |
|---|---|---|---|---|---|---|---|---|---|
| Baader Bank | EUR | 139,16 | 139,74 | -0,42 | 139,16 - 139,72 | 22:00:07 | 18.08.2026 | ||
| gettex | EUR | 139,53 | 139,53 | 0,00 | 139,53 - 139,53 | 22:47:39 | 18.08.2026 | ||
| Düsseldorf | EUR | 138,70 | 139,16 | -0,33 | 138,70 - 138,97 | 21:45:02 | 18.08.2026 | ||
| Frankfurt | EUR | 138,93 | 139,52 | -0,42 | 138,93 - 138,95 | 09:48:45 | 18.08.2026 | ||
| Hamburg | EUR | 138,75 | 139,32 | -0,41 | 138,75 - 138,75 | 08:16:41 | 18.08.2026 | ||
| München | EUR | 138,72 | 139,32 | -0,43 | 138,71 - 138,72 | 08:10:13 | 18.08.2026 | ||
| Stuttgart | EUR | 138,69 | 139,16 | -0,34 | 137,46 - 138,97 | 21:55:13 | 18.08.2026 | ||
| Tradegate | EUR | 138,47 | 138,94 | -0,34 | 21:59:28 | 18.08.2026 | |||
| Quotrix | EUR | 139,51 | 139,34 | 0,12 | 139,51 - 139,51 | 07:27:05 | 18.08.2026 | ||
| NAV | EUR | 139,47 | 139,82 | -0,25 | - | 17.08.2026 |