|
Hsbc Ftse Epra/Nareit Developed Ucits Etf
|
21/09
|
23,11
|
+0,37%
|
23,05
|
22,985 - 23,11
|
|
Hsbc Ftse Epra/Nareit Developed Ucits Etf
|
21/09
|
29,13
|
+0,57%
|
28,975
|
28,955 - 29,13
|
|
Hsbc Ftse Epra/Nareit Developed Ucits Etf
|
21/09
|
17,235
|
+0,17%
|
17,21
|
17,175 - 17,235
|
|
Hsbc Ftse Epra/Nareit Developed Ucits Etf
|
21/09
|
21,695
|
+0,17%
|
21,65
|
21,64 - 21,695
|
|
Hsbc Global Funds Icav
|
18/09
|
8,4425
|
-0,74%
|
8,4425
|
8,4425 - 8,4425
|
|
Hsbc Global Funds Icav
|
18/09
|
10,421
|
-0,30%
|
10,421
|
10,421 - 10,421
|
|
Hsbc Global Funds Icav
|
18/09
|
9,9715
|
-0,17%
|
9,9715
|
9,9715 - 9,9715
|
|
Hsbc Global Funds Icav
|
18/09
|
10,781
|
-0,16%
|
10,781
|
10,781 - 10,781
|
|
Hsbc Global Funds Icav
|
18/09
|
9,8825
|
-0,29%
|
9,8825
|
9,8825 - 9,8825
|
|
Hsbc Global Funds Icav
|
21/09
|
11,418
|
+0,18%
|
11,394
|
11,37 - 11,418
|
|
Hsbc Global Funds Icav
|
21/09
|
8,518
|
+0,27%
|
8,506
|
8,4854 - 8,5363
|
|
Hsbc Global Funds Icav
|
18/09
|
4,3895
|
-1,04%
|
4,388
|
4,3768 - 4,388
|
|
Hsbc Global Funds Icav
|
18/09
|
10,889
|
-0,18%
|
10,889
|
10,889 - 10,889
|
|
Hsbc Global Funds Icav Us Treasury Bond Ucits Etf
|
18/09
|
7,699
|
-0,45%
|
7,699
|
7,699 - 7,699
|
|
Hsbc Global Funds Icav -Uscorporate Bond Index Fund
|
18/09
|
10,52
|
-0,32%
|
10,52
|
10,52 - 10,52
|
|
Hsbc Global Funds Icav -Uscorporate Bond Index Fund
|
18/09
|
7,8645
|
-0,54%
|
7,8645
|
7,8645 - 7,8645
|
|
Hsbc Global Government Bond Ucits Etf
|
21/09
|
10,86
|
+0,34%
|
10,86
|
10,86 - 10,86
|
|
Hsbc Hang Seng Tech Ucits Etf
|
21/09
|
4,5995
|
+0,27%
|
4,601
|
4,5908 - 4,6265
|
|
Hsbc Hang Seng Tech Ucits Etf
|
21/09
|
6,158
|
+0,35%
|
6,138
|
6,138 - 6,182
|
|
Hsbc Holdings
|
21/09
|
15,38
|
+1,68%
|
15,3
|
15,274 - 15,4806
|