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Mfs Investment Funds - Global Concentrated Equity Fund Us Dollar Class (0P0000KP68)

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442.510 -2.320    -0.52%
05/06 - Closed. Currency in USD
Type:  Fund
Market:  Luxembourg
Issuer:  MFS Investment Funds
ISIN:  LU0366721537 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 122.53M
MFS Investment Funds - Global Concentrated Equity 442.510 -2.320 -0.52%

0P0000KP68 Historical Data

 
Get free historical data for 0P0000KP68 fund. You'll find the end of day price of the Mfs Investment Funds - Global Concentrated Equity Fund Us Dollar Class 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:
07/05/2025 - 07/06/2025
 
Date Price Open High Low Change %
Jun 05, 2025 442.510 442.510 442.510 442.510 -0.52%
Jun 04, 2025 444.830 444.830 444.830 444.830 0.62%
Jun 03, 2025 442.080 442.080 442.080 442.080 0.14%
Jun 02, 2025 441.480 441.480 441.480 441.480 -0.01%
May 30, 2025 441.540 441.540 441.540 441.540 0.71%
May 28, 2025 438.410 438.410 438.410 438.410 -0.64%
May 27, 2025 441.240 441.240 441.240 441.240 1.60%
May 23, 2025 434.310 434.310 434.310 434.310 -0.67%
May 22, 2025 437.220 437.220 437.220 437.220 -0.42%
May 21, 2025 439.070 439.070 439.070 439.070 -1.37%
May 20, 2025 445.170 445.170 445.170 445.170 0.19%
May 19, 2025 444.330 444.330 444.330 444.330 0.28%
May 16, 2025 443.080 443.080 443.080 443.080 0.80%
May 15, 2025 439.580 439.580 439.580 439.580 0.76%
May 14, 2025 436.260 436.260 436.260 436.260 -0.35%
May 13, 2025 437.810 437.810 437.810 437.810 0.08%
May 12, 2025 437.460 437.460 437.460 437.460 2.27%
May 08, 2025 427.730 427.730 427.730 427.730 0.33%
May 07, 2025 426.310 426.310 426.310 426.310 0.87%
Highest: 445.170 Lowest: 426.310 Difference: 18.860 Average: 438.969 Change %: 4.706
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