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Riv Rationalinvest Vermögensverwalterfonds (0P0000G0MT)

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267.020 -1.430    -0.53%
07/02 - Delayed Data. Currency in EUR
  • Morningstar Rating:
  • Total Assets: 324.55M
Type:  Fund
Market:  Germany
Issuer:  R.I. Vermögensbetreuung AG
ISIN:  DE000A0MVZQ2 
Asset Class:  Equity
RIV Rationalinvest Vermögensverwalterfonds 267.020 -1.430 -0.53%

0P0000G0MT Historical Data

 
Get free historical data for 0P0000G0MT fund. You'll find the end of day price of the Riv Rationalinvest Vermögensverwalterfonds 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:
01/13/2025 - 02/11/2025
 
Date Price Open High Low Change %
Feb 07, 2025 267.020 267.020 267.020 267.020 -0.53%
Feb 06, 2025 268.450 268.450 268.450 268.450 1.25%
Feb 05, 2025 265.130 265.130 265.130 265.130 0.56%
Feb 04, 2025 263.650 263.650 263.650 263.650 -0.03%
Feb 03, 2025 263.740 263.740 263.740 263.740 -0.64%
Jan 31, 2025 265.450 265.450 265.450 265.450 -0.11%
Jan 30, 2025 265.730 265.730 265.730 265.730 0.64%
Jan 29, 2025 264.030 264.030 264.030 264.030 0.37%
Jan 28, 2025 263.050 263.050 263.050 263.050 0.52%
Jan 27, 2025 261.680 261.680 261.680 261.680 -0.83%
Jan 24, 2025 263.870 263.870 263.870 263.870 -0.74%
Jan 23, 2025 265.840 265.840 265.840 265.840 0.42%
Jan 22, 2025 264.730 264.730 264.730 264.730 0.31%
Jan 21, 2025 263.910 263.910 263.910 263.910 0.52%
Jan 20, 2025 262.540 262.540 262.540 262.540 -0.36%
Jan 17, 2025 263.500 263.500 263.500 263.500 0.83%
Jan 16, 2025 261.330 261.330 261.330 261.330 0.00%
Jan 15, 2025 261.320 261.320 261.320 261.320 1.09%
Jan 14, 2025 258.490 258.490 258.490 258.490 -0.22%
Jan 13, 2025 259.050 259.050 259.050 259.050 0.33%
Highest: 268.450 Lowest: 258.490 Difference: 9.960 Average: 263.625 Change %: 3.416
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