Mercados españoles cerrados

American Funds Washington Mutual Investors Fund (RWMHX)

Nasdaq - Nasdaq Precio demorado. Divisa en USD
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59,31-0,39 (-0,65%)
Al cierre: 08:05AM EDT
Intervalo de fechas:
02 may 2023 - 02 may 2024
Mostrar:
Cotizaciones históricas
Frecuencia:
Diario
Divisa en USDDescargar
FechaAbrirMáx.Mín.Cierre*Cierre ajus.**Volumen
02 may 2024------
01 may 202459,3159,3159,3159,3159,31-
30 abr 202459,7059,7059,7059,7059,70-
29 abr 202460,5260,5260,5260,5260,52-
26 abr 202460,4560,4560,4560,4560,45-
25 abr 202460,0760,0760,0760,0760,07-
24 abr 202460,1960,1960,1960,1960,19-
23 abr 202460,2360,2360,2360,2360,23-
22 abr 202459,5859,5859,5859,5859,58-
19 abr 202459,1559,1559,1559,1559,15-
18 abr 202459,2459,2459,2459,2459,24-
17 abr 202459,3459,3459,3459,3459,34-
16 abr 202459,5859,5859,5859,5859,58-
15 abr 202459,5559,5559,5559,5559,55-
12 abr 202460,0360,0360,0360,0360,03-
11 abr 202460,9560,9560,9560,9560,95-
10 abr 202460,7060,7060,7060,7060,70-
09 abr 202461,3061,3061,3061,3061,30-
08 abr 202461,2861,2861,2861,2861,28-
05 abr 202461,2761,2761,2761,2761,27-
04 abr 202460,6960,6960,6960,6960,69-
03 abr 202461,4461,4461,4461,4461,44-
02 abr 202461,4261,4261,4261,4261,42-
01 abr 202461,9461,9461,9461,9461,94-
28 mar 202462,0762,0762,0762,0762,07-
27 mar 202461,9361,9361,9361,9361,93-
26 mar 202461,3661,3661,3661,3661,36-
25 mar 202461,4861,4861,4861,4861,48-
22 mar 202461,6361,6361,6361,6361,63-
21 mar 202461,8561,8561,8561,8561,85-
20 mar 202461,3861,3861,3861,3861,38-
19 mar 202460,8760,8760,8760,8760,87-
18 mar 202460,5660,5660,5660,5660,56-
15 mar 202460,3460,3460,3460,3460,34-
14 mar 202460,6760,6760,6760,6760,67-
13 mar 202460,7760,7760,7760,7760,77-
13 mar 20240.229 Dividendo
12 mar 202461,0861,0861,0861,0860,85-
11 mar 202460,7560,7560,7560,7560,52-
08 mar 202460,7060,7060,7060,7060,47-
07 mar 202461,1861,1861,1861,1860,95-
06 mar 202460,6460,6460,6460,6460,41-
05 mar 202460,3160,3160,3160,3160,08-
04 mar 202460,8960,8960,8960,8960,66-
01 mar 202460,8760,8760,8760,8760,64-
29 feb 202460,2360,2360,2360,2360,00-
28 feb 202460,0660,0660,0660,0659,83-
27 feb 202460,1060,1060,1060,1059,87-
26 feb 202460,0360,0360,0360,0359,80-
23 feb 202460,1760,1760,1760,1759,94-
22 feb 202460,1560,1560,1560,1559,92-
21 feb 202459,2359,2359,2359,2359,01-
20 feb 202459,0259,0259,0259,0258,80-
16 feb 202459,2259,2259,2259,2259,00-
15 feb 202459,3359,3359,3359,3359,11-
14 feb 202458,8958,8958,8958,8958,67-
13 feb 202458,4058,4058,4058,4058,18-
12 feb 202459,1559,1559,1559,1558,93-
09 feb 202459,1459,1459,1459,1458,92-
08 feb 202458,9058,9058,9058,9058,68-
07 feb 202458,8558,8558,8558,8558,63-
06 feb 202458,4158,4158,4158,4158,19-
05 feb 202458,1758,1758,1758,1757,95-
02 feb 202458,3858,3858,3858,3858,16-
01 feb 202458,2558,2558,2558,2558,03-
31 ene 202457,6257,6257,6257,6257,40-
30 ene 202458,2658,2658,2658,2658,04-
29 ene 202458,1758,1758,1758,1757,95-
26 ene 202457,8657,8657,8657,8657,64-
25 ene 202457,9157,9157,9157,9157,69-
24 ene 202457,8357,8357,8357,8357,61-
23 ene 202457,7357,7357,7357,7357,51-
22 ene 202457,5657,5657,5657,5657,34-
19 ene 202457,5157,5157,5157,5157,29-
18 ene 202456,8656,8656,8656,8656,65-
17 ene 202456,5456,5456,5456,5456,33-
16 ene 202456,7856,7856,7856,7856,57-
12 ene 202457,0357,0357,0357,0356,82-
11 ene 202456,9656,9656,9656,9656,75-
10 ene 202456,9756,9756,9756,9756,76-
09 ene 202456,8256,8256,8256,8256,61-
08 ene 202456,9756,9756,9756,9756,76-
05 ene 202456,4756,4756,4756,4756,26-
04 ene 202456,4256,4256,4256,4256,21-
03 ene 202456,5556,5556,5556,5556,34-
02 ene 202456,9056,9056,9056,9056,69-
29 dic 202357,0757,0757,0757,0756,86-
28 dic 202357,1657,1657,1657,1656,95-
27 dic 202357,1357,1357,1357,1356,92-
26 dic 202357,0457,0457,0457,0456,83-
22 dic 202356,7556,7556,7556,7556,54-
21 dic 202356,6756,6756,6756,6756,46-
20 dic 202356,1556,1556,1556,1555,94-
19 dic 202356,9856,9856,9856,9856,77-
18 dic 202356,6956,6956,6956,6956,48-
15 dic 202356,4956,4956,4956,4956,28-
15 dic 20230.365 Dividendo
15 dic 20231.207 Plusvalía
14 dic 202358,1158,1158,1158,1156,33-
13 dic 202357,9757,9757,9757,9756,19-
*Precio de cierre ajustado por splits.**Precio de cierre ajustado por divisiones y distribuciones de dividendos o plusvalías.
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