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Legg Mason Partners Investment Trust - Franklin Global Dividend Fund (LDIGX)

Nasdaq - Nasdaq Precio retrasado. Moneda en USD.
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14.67+0.00 (+0.00%)
Al cierre: 08:00PM EDT
Periodo de tiempo:
26 jun 2023 - 26 jun 2024
Mostrar:
Precios históricos
Frecuencia:
A diario
Moneda en USDDescargar
FechaAbrirAltoBajoCierre*Cierre ajustado**Volumen
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01 may 2024------
30 abr 2024------
29 abr 2024------
26 abr 2024------
25 abr 2024------
24 abr 2024------
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22 abr 2024------
19 abr 2024------
18 abr 2024------
17 abr 2024------
16 abr 2024------
15 abr 2024------
12 abr 202414.6714.6714.6714.6714.67-
11 abr 202414.6714.6714.6714.6714.67-
10 abr 202414.6714.6714.6714.6714.67-
09 abr 202414.6714.6714.6714.6714.67-
08 abr 202414.6714.6714.6714.6714.67-
05 abr 202414.6714.6714.6714.6714.67-
04 abr 202414.6614.6614.6614.6614.66-
03 abr 202414.6614.6614.6614.6614.66-
02 abr 202414.6614.6614.6614.6614.66-
01 abr 202414.6614.6614.6614.6614.66-
28 mar 202414.6614.6614.6614.6614.66-
27 mar 202414.6514.6514.6514.6514.65-
26 mar 202414.6514.6514.6514.6514.65-
25 mar 202414.6614.6614.6614.6614.66-
22 mar 202414.6514.6514.6514.6514.65-
21 mar 202414.6414.6414.6414.6414.64-
20 mar 202414.6414.6414.6414.6414.64-
19 mar 202414.6414.6414.6414.6414.64-
18 mar 202414.6414.6414.6414.6414.64-
15 mar 202414.6514.6514.6514.6514.65-
14 mar 202414.6714.6714.6714.6714.67-
13 mar 202414.7114.7114.7114.7114.71-
12 mar 202414.7214.7214.7214.7214.72-
11 mar 202414.6414.6414.6414.6414.64-
08 mar 202414.6214.6214.6214.6214.62-
07 mar 202414.6514.6514.6514.6514.65-
06 mar 202414.5514.5514.5514.5514.55-
05 mar 202414.4514.4514.4514.4514.45-
04 mar 202414.5014.5014.5014.5014.50-
01 mar 202414.5014.5014.5014.5014.50-
29 feb 202414.4214.4214.4214.4214.42-
28 feb 202414.3814.3814.3814.3814.38-
27 feb 202414.3914.3914.3914.3914.39-
26 feb 202414.3814.3814.3814.3814.38-
23 feb 202414.4514.4514.4514.4514.45-
22 feb 202414.4214.4214.4214.4214.42-
21 feb 202414.3014.3014.3014.3014.30-
20 feb 202414.2514.2514.2514.2514.25-
16 feb 202414.2314.2314.2314.2314.23-
15 feb 202414.2414.2414.2414.2414.24-
14 feb 202414.1514.1514.1514.1514.15-
13 feb 202414.0914.0914.0914.0914.09-
12 feb 202414.2514.2514.2514.2514.25-
09 feb 202414.2114.2114.2114.2114.21-
08 feb 202414.2214.2214.2214.2214.22-
07 feb 202414.2514.2514.2514.2514.25-
06 feb 202414.2214.2214.2214.2214.22-
05 feb 202414.1814.1814.1814.1814.18-
02 feb 202414.2614.2614.2614.2614.26-
01 feb 202414.2714.2714.2714.2714.27-
*Precio de cierre ajustado para división de acciones.** Precio de cierre ajustado por divisiones de acciones y distribuciones de dividendos y/o ganancias de capital.
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