Reliance Liquid Fund Treasury Plan Weekly Dividend
Reliance Liquid Fund Treasury Plan Weekly Dividend
نرخ فعلی::
1,531.712
-
صندوق های سرمایه گذاری
بازگشایی؟ | کمترین؟ | بیشترین؟ | پایانی؟ | میزان تغییر | درصد تغییر | تاریخ / میلادی | تاریخ / شمسی |
---|---|---|---|---|---|---|---|
1,531.7120 | 1,531.7120 | 1,531.7120 | 1,531.7120 | 0.246 | 0.02% | 2022/08/18 | 1401/05/27 |
1,531.4660 | 1,531.4660 | 1,531.4660 | 1,531.4660 | 0.495 | 0.03% | 2022/08/17 | 1401/05/26 |
1,530.7480 | 1,530.7480 | 1,530.9710 | 1,530.9710 | 0.671 | 0.04% | 2022/08/14 | 1401/05/23 |
1,530.30 | 1,530.30 | 1,530.30 | 1,530.30 | 1.33 | 0.09% | 2022/08/12 | 1401/05/21 |
1,531.63 | 1,531.63 | 1,531.63 | 1,531.63 | 0.249 | 0.02% | 2022/08/11 | 1401/05/20 |
1,531.3810 | 1,531.3810 | 1,531.3810 | 1,531.3810 | 0.223 | 0.01% | 2022/08/10 | 1401/05/19 |
1,530.9310 | 1,530.9310 | 1,531.1580 | 1,531.1580 | 0.643 | 0.04% | 2022/08/08 | 1401/05/17 |
1,531.8010 | 1,531.8010 | 1,531.8010 | 1,531.8010 | 0.208 | 0.01% | 2022/08/04 | 1401/05/13 |
1,531.5930 | 1,531.5930 | 1,531.5930 | 1,531.5930 | 0.518 | 0.03% | 2022/08/03 | 1401/05/12 |
1,531.0750 | 1,531.0750 | 1,531.0750 | 1,531.0750 | 0.319 | 0.02% | 2022/08/01 | 1401/05/10 |
1,530.7560 | 1,530.7560 | 1,530.7560 | 1,530.7560 | 0.227 | 0.01% | 2022/07/30 | 1401/05/08 |
1,530.30 | 1,530.30 | 1,530.5290 | 1,530.5290 | 0.716 | 0.05% | 2022/07/29 | 1401/05/07 |
1,531.2450 | 1,531.2450 | 1,531.2450 | 1,531.2450 | 0.215 | 0.01% | 2022/07/28 | 1401/05/06 |
1,531.03 | 1,531.03 | 1,531.03 | 1,531.03 | 0.048 | - | 2022/07/27 | 1401/05/05 |
1,530.9820 | 1,530.9820 | 1,530.9820 | 1,530.9820 | 0.262 | 0.02% | 2022/07/26 | 1401/05/04 |
1,530.72 | 1,530.72 | 1,530.72 | 1,530.72 | 0.262 | 0.02% | 2022/07/23 | 1401/05/01 |