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Cobas Selección A Fi (0P0001LFVP)

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126.342 +0.010    +0.01%
09/01 - Closed. Currency in EUR
Type:  Fund
Market:  Spain
Issuer:  Cobas Asset Management SGIIC S.A.
ISIN:  ES0124037039 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 622.7M
Cobas Seleccion A FI 126.342 +0.010 +0.01%

0P0001LFVP Historical Data

 
Get free historical data for 0P0001LFVP fund. You'll find the end of day price of the Cobas Selección A Fi 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:
12/11/2024 - 01/11/2025
 
Date Price Open High Low Change %
Jan 09, 2025 126.342 126.342 126.342 126.342 0.01%
Jan 08, 2025 126.332 126.332 126.332 126.332 -0.58%
Jan 07, 2025 127.068 127.068 127.068 127.068 0.23%
Jan 03, 2025 126.780 126.780 126.780 126.780 -0.07%
Jan 02, 2025 126.866 126.866 126.866 126.866 1.82%
Dec 31, 2024 124.593 124.593 124.593 124.593 0.70%
Dec 30, 2024 123.732 123.732 123.732 123.732 0.30%
Dec 27, 2024 123.366 123.366 123.366 123.366 0.73%
Dec 26, 2024 122.474 122.474 122.474 122.474 0.04%
Dec 24, 2024 122.424 122.424 122.424 122.424 0.52%
Dec 23, 2024 121.787 121.787 121.787 121.787 0.46%
Dec 20, 2024 121.229 121.229 121.229 121.229 -0.27%
Dec 19, 2024 121.557 121.557 121.557 121.557 -0.30%
Dec 18, 2024 121.927 121.927 121.927 121.927 0.40%
Dec 17, 2024 121.446 121.446 121.446 121.446 -0.19%
Dec 16, 2024 121.673 121.673 121.673 121.673 -0.64%
Dec 13, 2024 122.455 122.455 122.455 122.455 -0.92%
Dec 12, 2024 123.594 123.594 123.594 123.594 0.74%
Dec 11, 2024 122.690 122.690 122.690 122.690 0.71%
Highest: 127.068 Lowest: 121.229 Difference: 5.838 Average: 123.597 Change %: 3.712
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