Franklin Templeton Icav Frk European Quality Dividend Ucits Etf

(FRXD)
Sector:
€29.15
€0.18 0.60
Last updated: 16:35:32

Company News Headlines

Date Time Headline Source
17/01/2025 09:33 Net Asset Value(s) RNS
16/01/2025 09:54 Net Asset Value(s) RNS
15/01/2025 09:40 Net Asset Value(s) RNS
14/01/2025 09:57 Net Asset Value(s) RNS
13/01/2025 10:10 Net Asset Value(s) RNS
10/01/2025 09:49 Net Asset Value(s) RNS
09/01/2025 09:42 Net Asset Value(s) RNS
08/01/2025 09:41 Net Asset Value(s) RNS
07/01/2025 09:48 Net Asset Value(s) RNS
06/01/2025 09:33 Net Asset Value(s) RNS
03/01/2025 10:34 Net Asset Value(s) RNS
02/01/2025 11:42 Net Asset Value(s) RNS
31/12/2024 10:15 Net Asset Value(s) RNS
30/12/2024 10:07 Net Asset Value(s) RNS
27/12/2024 10:27 Net Asset Value(s) RNS
24/12/2024 09:54 Net Asset Value(s) RNS
23/12/2024 10:27 Net Asset Value(s) RNS
20/12/2024 10:24 Net Asset Value(s) RNS
19/12/2024 11:29 Net Asset Value(s) RNS
18/12/2024 10:13 Net Asset Value(s) RNS
17/12/2024 09:56 Net Asset Value(s) RNS
16/12/2024 10:48 Net Asset Value(s) RNS
13/12/2024 10:13 Net Asset Value(s) RNS
12/12/2024 10:14 Net Asset Value(s) RNS
11/12/2024 09:48 Net Asset Value(s) RNS
10/12/2024 09:52 Net Asset Value(s) RNS
09/12/2024 10:27 Net Asset Value(s) RNS
06/12/2024 10:19 Net Asset Value(s) RNS
05/12/2024 10:13 Net Asset Value(s) RNS
04/12/2024 10:07 Net Asset Value(s) RNS
03/12/2024 10:03 Net Asset Value(s) RNS
02/12/2024 10:01 Net Asset Value(s) RNS
29/11/2024 10:54 Net Asset Value(s) RNS
28/11/2024 10:00 Net Asset Value(s) RNS
27/11/2024 10:21 Net Asset Value(s) RNS
26/11/2024 10:03 Net Asset Value(s) RNS
25/11/2024 10:27 Net Asset Value(s) RNS
22/11/2024 09:41 Net Asset Value(s) RNS
21/11/2024 10:08 Net Asset Value(s) RNS
20/11/2024 10:49 Net Asset Value(s) RNS
19/11/2024 10:11 Net Asset Value(s) RNS
18/11/2024 10:17 Net Asset Value(s) RNS
15/11/2024 09:37 Net Asset Value(s) RNS
14/11/2024 09:36 Net Asset Value(s) RNS
13/11/2024 09:30 Net Asset Value(s) RNS
12/11/2024 09:37 Net Asset Value(s) RNS
11/11/2024 09:39 Net Asset Value(s) RNS
08/11/2024 10:14 Net Asset Value(s) RNS
07/11/2024 10:27 Net Asset Value(s) RNS
06/11/2024 09:53 Net Asset Value(s) RNS