Funds

Mirvac Group

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MGR:ASX

Mirvac Group

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  • Price (AUD)1.93
  • Today's Change-0.01 / -0.52%
  • 1 Year change-13.06%
Data delayed at least 20 minutes, as of Feb 17 2026 05:10 GMT.
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Historical Prices

DateOpenHighLowCloseVolume
Tuesday, February 17, 2026Tue, Feb 17, 20261.941.941.911.9314,170,56514.17m
Monday, February 16, 2026Mon, Feb 16, 20261.911.941.911.9413,233,75313.23m
Friday, February 13, 2026Fri, Feb 13, 20261.941.941.891.9114,845,87714.85m
Thursday, February 12, 2026Thu, Feb 12, 20261.971.971.921.9315,177,17715.18m
Wednesday, February 11, 2026Wed, Feb 11, 20261.951.971.941.968,079,1078.08m
Tuesday, February 10, 2026Tue, Feb 10, 20261.961.991.951.9512,548,10112.55m
Monday, February 09, 2026Mon, Feb 09, 20261.951.991.951.9714,122,86614.12m
Friday, February 06, 2026Fri, Feb 06, 20261.992.001.941.9414,592,20614.59m
Thursday, February 05, 2026Thu, Feb 05, 20261.992.001.972.0018,821,33218.82m
Wednesday, February 04, 2026Wed, Feb 04, 20261.991.991.961.9814,650,18214.65m
Tuesday, February 03, 2026Tue, Feb 03, 20261.992.021.972.0022,910,20122.91m
Monday, February 02, 2026Mon, Feb 02, 20261.992.021.971.9910,260,65210.26m
Friday, January 30, 2026Fri, Jan 30, 20261.982.001.972.0015,472,61515.47m
Thursday, January 29, 2026Thu, Jan 29, 20261.981.981.961.9810,700,43810.70m
Wednesday, January 28, 2026Wed, Jan 28, 20262.002.001.961.9816,108,16016.11m
Tuesday, January 27, 2026Tue, Jan 27, 20262.002.021.991.9912,985,45612.99m
Friday, January 23, 2026Fri, Jan 23, 20262.012.032.002.0013,173,50113.17m
Thursday, January 22, 2026Thu, Jan 22, 20262.012.042.012.0110,405,24110.41m
Wednesday, January 21, 2026Wed, Jan 21, 20262.022.042.002.018,049,4958.05m
Tuesday, January 20, 2026Tue, Jan 20, 20262.022.042.012.037,129,4827.13m
Monday, January 19, 2026Mon, Jan 19, 20262.032.042.022.048,800,6128.80m
There are no Historical Prices for the selected date range, please select a different date.
Data delayed at least 20 minutes, as of Feb 17 2026 16:10 GMT.
The performance data shown in tables and graphs on this page is calculated in USD of the fund/index/average (as applicable), on a Bid To Bid / Nav to Nav basis, with gross dividends re-invested on ex-dividend date. Past performance is not necessarily a guide to future performance; unit prices may fall as well as rise.
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