Master data

Fr.Temp.Inv.Fds-T.Em.Mkt.BdFd
Code number
971666
ISIN
LU0029876355
Symbol
TEP1
Issuer
Franklin Templeton Investment Funds Sicav
Security type
Special Fonds
Country
n/a
Home market
n/a
Focus
Renten Emerging Markets
Market segment
Berlin Open Market
 

Price data

Last
EUR6.130
Change
EUR+0.01
Change in %
%
+0.163
Date
28/11/2022
Time
19:27:56
Spread
%1.468
Bid
EUR6.130
Bid Size
4,500
Ask
EUR6.220
Ask Size
4,500
Open
EUR6.125
Previous day
EUR6.120
High
EUR6.130
Low
EUR6.100
52 weeks high
EUR7.900
52 weeks low
EUR5.890
Volume last trade
0
Volume
0
Turnover
EUR0.000

Lead Broker

Times & Sales

Date Time Last Volume
28/11/2022 19:27:56 6.130 0
28/11/2022 18:42:51 6.125 0
28/11/2022 17:47:02 6.115 0
28/11/2022 13:22:26 6.100 0
28/11/2022 08:29:54 6.125 0

 

Chart
Illustration
Comparison
Fr.Temp.Inv.Fds-T.Em.Mkt.BdFd
Analysis
 
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