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Iberian Private Debt Fund Bp Fil (0P00014G83)

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118.211 +4.700    +4.14%
31/12 - Closed. Currency in EUR ( Disclaimer )
Type:  Fund
Market:  Spain
ISIN:  ES0147228003 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 13.7M
Iberian Private Debt Fund BP FIL 118.211 +4.700 +4.14%

0P00014G83 Historical Data

 
Get free historical data for 0P00014G83 fund. You'll find the end of day price of the Iberian Private Debt Fund Bp Fil fund for the selected range of dates. The data can be viewed in daily, weekly or monthly time intervals. At the bottom of the table you'll find the data summary for the selected range of dates.
Time Frame:
29/12/2017 - 27/04/2024
 
Date Price Open High Low Change %
Dec 31, 2023 118.211 118.211 118.211 118.211 4.14%
Sep 30, 2023 113.515 113.515 113.515 113.515 2.57%
Jun 30, 2023 110.675 110.675 110.675 110.675 5.83%
Mar 31, 2023 104.574 104.574 104.574 104.574 -0.32%
Dec 31, 2022 104.908 104.908 104.908 104.908 2.47%
Sep 30, 2022 102.379 102.379 102.379 102.379 -9.90%
Jun 30, 2022 113.628 113.628 113.628 113.628 -4.94%
Mar 31, 2022 119.535 119.535 119.535 119.535 1.92%
Dec 31, 2021 117.279 117.279 117.279 117.279 -0.51%
Sep 30, 2021 117.875 117.875 117.875 117.875 4.34%
Jun 30, 2021 112.972 112.972 112.972 112.972 4.04%
Mar 31, 2021 108.590 108.590 108.590 108.590 4.78%
Dec 31, 2020 103.636 103.636 103.636 103.636 -4.67%
Sep 30, 2020 108.715 108.715 108.715 108.715 5.18%
Jun 30, 2019 103.361 104.609 104.609 103.361 0.46%
Mar 29, 2019 102.888 102.593 102.888 102.593 2.71%
Dec 31, 2018 100.169 100.169 100.169 100.169 0.27%
Sep 28, 2018 99.899 98.180 99.899 98.180 1.36%
Jun 29, 2018 98.559 98.559 98.559 98.559 0.08%
Mar 29, 2018 98.484 98.484 98.484 98.484 0.31%
Dec 29, 2017 98.183 98.183 98.183 98.183 -16.94%
Highest: 119.535 Lowest: 98.180 Difference: 21.355 Average: 107.525 Change %: 0.000
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