iShares U.S. Financial Services ETF


iShares U.S. Financial Services ETF

  • Price (USD)130.58
  • Today's Change-1.00 / -0.76%
  • Shares traded173.18k
  • 1 Year change-0.40%
Data delayed at least 15 minutes, as of Jun 26 2019 01:00 BST.
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Historical Prices

Tuesday, June 25, 2019Tue, Jun 25, 2019131.55131.58130.29130.5800.00
Monday, June 24, 2019Mon, Jun 24, 2019132.22132.81131.55131.58968,635968.64k
Friday, June 21, 2019Fri, Jun 21, 2019132.37133.40132.20132.32428,832428.83k
Thursday, June 20, 2019Thu, Jun 20, 2019132.50132.73131.11132.5273,55073.55k
Wednesday, June 19, 2019Wed, Jun 19, 2019132.14132.75131.51131.5140,20740.21k
Tuesday, June 18, 2019Tue, Jun 18, 2019130.38132.41130.35131.8976,35176.35k
Monday, June 17, 2019Mon, Jun 17, 2019131.47131.82130.17130.3241,16141.16k
Friday, June 14, 2019Fri, Jun 14, 2019131.96132.40131.01132.0543,29943.30k
Thursday, June 13, 2019Thu, Jun 13, 2019132.18132.37131.37131.7932,36532.37k
Wednesday, June 12, 2019Wed, Jun 12, 2019132.71132.78131.59131.7831,28931.29k
Tuesday, June 11, 2019Tue, Jun 11, 2019133.78134.08132.45132.9147,08547.09k
Monday, June 10, 2019Mon, Jun 10, 2019132.84133.95132.84132.9942,55842.56k
Friday, June 07, 2019Fri, Jun 07, 2019131.50132.25131.38131.6234,68834.69k
Thursday, June 06, 2019Thu, Jun 06, 2019130.90132.02130.50131.5742,45742.46k
Wednesday, June 05, 2019Wed, Jun 05, 2019130.34131.04129.26130.9664,61164.61k
Tuesday, June 04, 2019Tue, Jun 04, 2019127.49130.17127.43130.1051,46451.46k
Monday, June 03, 2019Mon, Jun 03, 2019126.02127.14125.22125.9999,69699.70k
Friday, May 31, 2019Fri, May 31, 2019126.34126.99126.04126.1058,81158.81k
Thursday, May 30, 2019Thu, May 30, 2019129.29129.58127.40128.0652,12052.12k
Wednesday, May 29, 2019Wed, May 29, 2019127.96129.09127.39128.9765,86665.87k
Tuesday, May 28, 2019Tue, May 28, 2019129.83130.52128.94128.9471,22671.23k
Data delayed at least 15 minutes, as of Jun 25 2019 21:00 BST.
Intra-day ETF pricing data provided by Refinitiv
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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