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UC90 Ubsetf Ccgbas

13,591.00
-210.00 (-1.52%)
Jun 07 2024 - Closed
Delayed by 15 minutes
Etf Name Etf Symbol Market Stock Type
Ubsetf Ccgbas UC90 London Exchange Traded Fund
  Price Change Price Change % Etf Price Last Trade
-210.00 -1.52% 13,591.00 10:35:07
Open Price Low Price High Price Close Price Previous Close
13,591.00 13,801.00
more quote information »

Recent News

Date Time Source Heading
6/07/202403:43UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
6/06/202404:03UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
6/05/202404:06UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
6/04/202403:43UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
6/03/202403:30UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/31/202404:00UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/30/202404:23UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/29/202403:32UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/28/202401:00UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/24/202404:09UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/23/202404:14UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/23/202401:05UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/21/202403:49UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/20/202404:45UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/16/202404:01UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/15/202403:43UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/14/202404:03UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/13/202404:11UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/10/202404:10UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/09/202403:14UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/08/202404:05UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/07/202401:00UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/03/202405:37UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/02/202404:04UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
5/01/202404:39UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/30/202403:47UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/29/202403:48UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/26/202405:10UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/25/202403:58UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/24/202403:53UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/23/202403:59UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/22/202404:42UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/19/202404:04UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/18/202403:27UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/17/202403:28UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/16/202404:03UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/15/202404:02UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/12/202403:58UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/11/202404:45UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/10/202404:07UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/09/202404:49UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/08/202404:44UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/05/202404:24UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/04/202404:16UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/03/202404:03UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
4/02/202404:44UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
3/28/202405:30UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
3/27/202404:59UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
3/26/202404:22UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)
3/25/202404:54UK RNSUBS (IRL) FS CMCI Comp GBP A-ACC Net Asset Value(s)

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