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SEI Institutional Managed Trust Core Fixed Income Fund (SCFYX)

Nasdaq - Nasdaq Precio retrasado. Moneda en USD.
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9.44+0.02 (+0.21%)
A partir del 08:05AM EDT. Mercado abierto.
Periodo de tiempo:
28 jun 2023 - 28 jun 2024
Mostrar:
Precios históricos
Frecuencia:
A diario
Moneda en USDDescargar
FechaAbrirAltoBajoCierre*Cierre ajustado**Volumen
28 jun 2024------
27 jun 20249.449.449.449.449.44-
26 jun 20249.429.429.429.429.42-
25 jun 20249.479.479.479.479.47-
24 jun 20249.479.479.479.479.47-
21 jun 20249.469.469.469.469.46-
20 jun 20249.469.469.469.469.46-
18 jun 20249.499.499.499.499.49-
17 jun 20249.459.459.459.459.45-
14 jun 20249.499.499.499.499.49-
13 jun 20249.489.489.489.489.48-
12 jun 20249.439.439.439.439.43-
11 jun 20249.389.389.389.389.38-
10 jun 20249.349.349.349.349.34-
07 jun 20249.369.369.369.369.36-
06 jun 20249.459.459.459.459.45-
05 jun 20249.449.449.449.449.44-
04 jun 20249.429.429.429.429.42-
03 jun 20249.389.389.389.389.38-
31 may 20249.329.329.329.329.32-
31 may 20240.049 Dividendo
30 may 20249.299.299.299.299.24-
29 may 20249.259.259.259.259.20-
28 may 20249.299.299.299.299.24-
24 may 20249.349.349.349.349.29-
23 may 20249.339.339.339.339.28-
22 may 20249.379.379.379.379.32-
21 may 20249.389.389.389.389.33-
20 may 20249.369.369.369.369.31-
17 may 20249.389.389.389.389.33-
16 may 20249.409.409.409.409.35-
15 may 20249.439.439.439.439.38-
14 may 20249.369.369.369.369.31-
13 may 20249.349.349.349.349.29-
10 may 20249.339.339.339.339.28-
09 may 20249.359.359.359.359.30-
08 may 20249.339.339.339.339.28-
07 may 20249.359.359.359.359.30-
06 may 20249.339.339.339.339.28-
03 may 20249.339.339.339.339.28-
02 may 20249.289.289.289.289.23-
01 may 20249.249.249.249.249.19-
30 abr 20249.209.209.209.209.15-
30 abr 20240.042 Dividendo
29 abr 20249.259.259.259.259.16-
26 abr 20249.229.229.229.229.13-
25 abr 20249.209.209.209.209.11-
24 abr 20249.239.239.239.239.14-
23 abr 20249.269.269.269.269.17-
22 abr 20249.249.249.249.249.15-
19 abr 20249.249.249.249.249.15-
18 abr 20249.239.239.239.239.14-
17 abr 20249.269.269.269.269.17-
16 abr 20249.219.219.219.219.12-
15 abr 20249.249.249.249.249.15-
12 abr 20249.319.319.319.319.22-
11 abr 20249.299.299.299.299.20-
10 abr 20249.309.309.309.309.21-
09 abr 20249.429.429.429.429.33-
08 abr 20249.389.389.389.389.29-
05 abr 20249.399.399.399.399.30-
04 abr 20249.459.459.459.459.36-
03 abr 20249.439.439.439.439.34-
02 abr 20249.429.429.429.429.33-
01 abr 20249.439.439.439.439.34-
28 mar 20249.519.519.519.519.42-
28 mar 20240.033 Dividendo
27 mar 20249.529.529.529.529.39-
26 mar 20249.509.509.509.509.37-
25 mar 20249.499.499.499.499.36-
22 mar 20249.519.519.519.519.38-
21 mar 20249.479.479.479.479.34-
20 mar 20249.479.479.479.479.34-
19 mar 20249.459.459.459.459.33-
18 mar 20249.429.429.429.429.30-
15 mar 20249.449.449.449.449.32-
14 mar 20249.459.459.459.459.33-
13 mar 20249.519.519.519.519.38-
12 mar 20249.539.539.539.539.40-
11 mar 20249.569.569.569.569.43-
08 mar 20249.579.579.579.579.44-
07 mar 20249.569.569.569.569.43-
06 mar 20249.549.549.549.549.41-
05 mar 20249.529.529.529.529.39-
04 mar 20249.479.479.479.479.34-
01 mar 20249.499.499.499.499.36-
29 feb 20249.469.469.469.469.33-
29 feb 20240.03 Dividendo
28 feb 20249.449.449.449.449.29-
27 feb 20249.429.429.429.429.27-
26 feb 20249.449.449.449.449.29-
23 feb 20249.469.469.469.469.31-
22 feb 20249.429.429.429.429.27-
21 feb 20249.419.419.419.419.26-
20 feb 20249.459.459.459.459.30-
16 feb 20249.439.439.439.439.28-
15 feb 20249.479.479.479.479.32-
14 feb 20249.449.449.449.449.29-
13 feb 20249.409.409.409.409.25-
12 feb 20249.509.509.509.509.34-
*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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