ADVFN Logo
Registration Strip Icon for alerts Register for real-time alerts, custom portfolio, and market movers

CUKX.GB iShares Core FTSE 100 UCITS ETF GBP Acc

15,801.70
185.70 (1.19%)
May 31 2024 - Closed
Realtime Data
Company Name Etf Ticker Symbol Market Type
iShares Core FTSE 100 UCITS ETF GBP Acc CUKX.GB Aquis Stock Exchange Exchange Traded Fund
  Price Change Change Percent Etf Price Last Traded
185.70 1.19% 15,801.70 10:05:35
Open Price Low Price High Price Close Price Prev Close
15,772.00 15,042.00 16,480.00 15,739.00 15,616.00
more quote information »

Recent News

Date Time Source Heading
1/24/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/23/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/22/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/19/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/18/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/17/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/16/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/15/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/12/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/11/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/10/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/09/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/08/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/05/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/04/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/03/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
1/02/202402:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/29/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/28/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/27/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/22/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/21/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/20/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/19/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/18/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/15/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/14/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/13/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/12/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/11/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/08/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/07/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/06/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/05/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/04/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
12/01/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/30/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/29/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/28/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/27/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/24/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/23/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/22/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/21/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/20/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/17/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/16/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/15/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/14/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)
11/13/202302:10UKREGiShares VII FTSE 100 UCITS (Acc) GBP Net Asset Value(s)