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Schroder International Selection Fund Global Convertible Bond C Distribution Usd Qv (0P0000YWRJ)

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179.408 -0.340    -0.19%
11/03 - Delayed Data. Currency in USD
  • Morningstar Rating:
  • Total Assets: 917.32M
Type:  Fund
Market:  Luxembourg
Issuer:  Schroder Investment Management Lux S.A.
ISIN:  LU0935022649 
Asset Class:  Bond
Schroder International Selection Fund Global Conve 179.408 -0.340 -0.19%

0P0000YWRJ Historical Data

 
Get free historical data for 0P0000YWRJ fund. You'll find the end of day price of the Schroder International Selection Fund Global Convertible Bond C Distribution Usd Qv 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:
12/02/2025 - 12/03/2025
 
Date Price Open High Low Change %
Mar 11, 2025 179.408 179.408 179.408 179.408 -0.19%
Mar 10, 2025 179.752 179.752 179.752 179.752 -0.80%
Mar 07, 2025 181.201 181.201 181.201 181.201 -0.90%
Mar 06, 2025 182.847 182.847 182.847 182.847 1.16%
Mar 05, 2025 180.746 180.746 180.746 180.746 0.23%
Mar 04, 2025 180.336 180.336 180.336 180.336 -0.82%
Mar 03, 2025 181.834 181.834 181.834 181.834 0.43%
Feb 28, 2025 181.059 181.059 181.059 181.059 -0.56%
Feb 27, 2025 182.071 182.071 182.071 182.071 0.27%
Feb 26, 2025 181.574 181.574 181.574 181.574 -0.03%
Feb 25, 2025 181.637 181.637 181.637 181.637 -0.84%
Feb 24, 2025 183.172 183.172 183.172 183.172 -0.76%
Feb 21, 2025 184.581 184.581 184.581 184.581 0.52%
Feb 20, 2025 183.631 183.631 183.631 183.631 -0.41%
Feb 19, 2025 184.380 184.380 184.380 184.380 0.12%
Feb 18, 2025 184.159 184.159 184.159 184.159 0.10%
Feb 17, 2025 183.982 183.982 183.982 183.982 -0.20%
Feb 14, 2025 184.347 184.347 184.347 184.347 0.99%
Feb 13, 2025 182.546 182.546 182.546 182.546 0.22%
Feb 12, 2025 182.150 182.150 182.150 182.150 -0.35%
Highest: 184.581 Lowest: 179.408 Difference: 5.173 Average: 182.271 Change %: -1.855
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