Funds

Columbia Convertible Securities Fund Institutional Class

NCIAX

Columbia Convertible Securities Fund Institutional Class

Actions
  • Price (USD)20.49
  • Today's Change0.10 / 0.49%
  • 1 Year change+3.12%
Data delayed at least 15 minutes, as of Aug 13 2024.
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Historical Prices

DateOpenHighLowCloseVolume
Tuesday, August 13, 2024Tue, Aug 13, 202420.4920.4920.4920.4900.00
Monday, August 12, 2024Mon, Aug 12, 202420.3920.3920.3920.3900.00
Friday, August 09, 2024Fri, Aug 09, 202420.4220.4220.4220.4200.00
Thursday, August 08, 2024Thu, Aug 08, 202420.4220.4220.4220.4200.00
Wednesday, August 07, 2024Wed, Aug 07, 202420.1720.1720.1720.1700.00
Tuesday, August 06, 2024Tue, Aug 06, 202420.2420.2420.2420.2400.00
Monday, August 05, 2024Mon, Aug 05, 202420.1520.1520.1520.1500.00
Friday, August 02, 2024Fri, Aug 02, 202420.3820.3820.3820.3800.00
Thursday, August 01, 2024Thu, Aug 01, 202420.6720.6720.6720.6700.00
Wednesday, July 31, 2024Wed, Jul 31, 202420.8720.8720.8720.8700.00
Tuesday, July 30, 2024Tue, Jul 30, 202420.7420.7420.7420.7400.00
Monday, July 29, 2024Mon, Jul 29, 202420.7920.7920.7920.7900.00
Friday, July 26, 2024Fri, Jul 26, 202420.8020.8020.8020.8000.00
Thursday, July 25, 2024Thu, Jul 25, 202420.7020.7020.7020.7000.00
Wednesday, July 24, 2024Wed, Jul 24, 202420.7920.7920.7920.7900.00
Tuesday, July 23, 2024Tue, Jul 23, 202420.9820.9820.9820.9800.00
Monday, July 22, 2024Mon, Jul 22, 202420.9620.9620.9620.9600.00
Friday, July 19, 2024Fri, Jul 19, 202420.8320.8320.8320.8300.00
Thursday, July 18, 2024Thu, Jul 18, 202420.8220.8220.8220.8200.00
Wednesday, July 17, 2024Wed, Jul 17, 202420.9920.9920.9920.9900.00
Tuesday, July 16, 2024Tue, Jul 16, 202421.1821.1821.1821.1800.00
Monday, July 15, 2024Mon, Jul 15, 202420.9920.9920.9920.9900.00
There are no Historical Prices for the selected date range, please select a different date.
Data delayed at least 15 minutes, as of Aug 13 2024.
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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