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NYSEArca - Delayed Quote USD
SPDR MarketAxess Investment Grade 400 Corporate Bond ETF (LQIG)
95.18
+0.08
+(0.08%)
At close: April 3 at 2:23:08 PM EDT
Currency in USD Download
Date | Open | High | Low | Close Close price adjusted for splits. | Adj Close Adjusted close price adjusted for splits and dividend and/or capital gain distributions. | Volume |
---|---|---|---|---|---|---|
Apr 3, 2025 | 95.36 | 95.48 | 95.18 | 95.18 | 95.18 | 3,400 |
Apr 2, 2025 | 95.11 | 95.11 | 95.11 | 95.11 | 95.11 | 100 |
Apr 1, 2025 | 0.41 Dividend | |||||
Apr 1, 2025 | 94.87 | 95.03 | 94.87 | 94.93 | 94.93 | 400 |
Mar 31, 2025 | 95.00 | 95.07 | 94.95 | 95.05 | 94.64 | 1,100 |
Mar 28, 2025 | 94.75 | 94.85 | 94.75 | 94.85 | 94.44 | 200 |
Mar 27, 2025 | 94.35 | 94.36 | 94.25 | 94.36 | 93.95 | 1,000 |
Mar 26, 2025 | 94.80 | 94.80 | 94.50 | 94.51 | 94.10 | 1,400 |
Mar 25, 2025 | 94.73 | 94.95 | 94.73 | 94.88 | 94.47 | 1,300 |
Mar 24, 2025 | 94.88 | 94.88 | 94.78 | 94.78 | 94.36 | 1,000 |
Mar 21, 2025 | 95.24 | 95.24 | 95.22 | 95.22 | 94.80 | 300 |
Mar 20, 2025 | 95.61 | 95.61 | 95.41 | 95.41 | 95.00 | 500 |
Mar 19, 2025 | 95.08 | 95.51 | 95.08 | 95.51 | 95.09 | 200 |
Mar 18, 2025 | 94.66 | 95.01 | 94.66 | 95.01 | 94.60 | 1,800 |
Mar 17, 2025 | 94.90 | 94.90 | 94.74 | 94.74 | 94.33 | 600 |
Mar 14, 2025 | 94.52 | 94.76 | 94.49 | 94.56 | 94.15 | 1,800 |
Mar 13, 2025 | 93.87 | 94.52 | 93.87 | 94.52 | 94.11 | 500 |
Mar 12, 2025 | 94.42 | 94.50 | 94.17 | 94.17 | 93.76 | 1,500 |
Mar 11, 2025 | 95.01 | 95.07 | 94.54 | 94.54 | 94.13 | 1,700 |
Mar 10, 2025 | 95.32 | 95.47 | 95.19 | 95.19 | 94.78 | 3,200 |
Mar 7, 2025 | 95.30 | 95.30 | 94.78 | 94.91 | 94.50 | 2,300 |
Mar 6, 2025 | 95.11 | 95.15 | 94.88 | 95.01 | 94.60 | 2,200 |
Mar 5, 2025 | 95.37 | 95.43 | 95.30 | 95.34 | 94.93 | 2,500 |
Mar 4, 2025 | 95.53 | 95.57 | 95.53 | 95.57 | 95.15 | 12,500 |
Mar 3, 2025 | 0.41 Dividend | |||||
Mar 3, 2025 | 95.58 | 95.83 | 95.48 | 95.82 | 95.40 | 2,300 |
Feb 28, 2025 | 95.76 | 95.93 | 95.72 | 95.93 | 95.10 | 1,600 |
Feb 27, 2025 | 95.76 | 95.76 | 95.57 | 95.58 | 94.76 | 900 |
Feb 26, 2025 | 95.97 | 95.97 | 95.94 | 95.94 | 95.11 | 200 |
Feb 25, 2025 | 95.54 | 95.77 | 95.54 | 95.77 | 94.95 | 1,800 |
Feb 24, 2025 | 95.07 | 95.17 | 95.07 | 95.12 | 94.30 | 700 |
Feb 21, 2025 | 94.88 | 95.06 | 94.88 | 94.91 | 94.10 | 900 |
Feb 20, 2025 | 94.40 | 94.50 | 94.40 | 94.50 | 93.69 | 500 |
Feb 19, 2025 | 94.21 | 94.33 | 94.21 | 94.33 | 93.52 | 200 |
Feb 18, 2025 | 94.51 | 94.51 | 94.27 | 94.27 | 93.46 | 1,100 |
Feb 14, 2025 | 94.68 | 94.74 | 94.65 | 94.65 | 93.84 | 3,200 |
Feb 13, 2025 | 94.11 | 94.34 | 94.11 | 94.34 | 93.53 | 2,600 |
Feb 12, 2025 | 93.31 | 93.60 | 93.31 | 93.57 | 92.77 | 1,200 |
Feb 11, 2025 | 93.92 | 94.04 | 93.90 | 93.99 | 93.19 | 4,000 |
Feb 10, 2025 | 94.34 | 94.34 | 94.16 | 94.17 | 93.37 | 3,100 |
Feb 7, 2025 | 94.14 | 94.25 | 94.12 | 94.19 | 93.38 | 2,100 |
Feb 6, 2025 | 94.76 | 94.76 | 94.61 | 94.62 | 93.81 | 700 |
Feb 5, 2025 | 94.79 | 94.93 | 94.74 | 94.74 | 93.93 | 800 |
Feb 4, 2025 | 93.84 | 94.16 | 93.84 | 94.16 | 93.35 | 1,100 |
Feb 3, 2025 | 0.41 Dividend | |||||
Feb 3, 2025 | 94.00 | 94.00 | 93.82 | 93.89 | 93.08 | 1,000 |
Jan 31, 2025 | 94.58 | 94.58 | 94.10 | 94.10 | 92.88 | 2,300 |
Jan 30, 2025 | 94.54 | 94.54 | 94.44 | 94.49 | 93.27 | 2,000 |
Jan 29, 2025 | 94.49 | 94.49 | 94.07 | 94.33 | 93.11 | 4,500 |
Jan 28, 2025 | 94.39 | 94.44 | 94.23 | 94.44 | 93.22 | 2,100 |
Jan 27, 2025 | 94.52 | 94.52 | 94.52 | 94.52 | 93.29 | 700 |
Jan 24, 2025 | 93.69 | 93.97 | 93.69 | 93.95 | 92.73 | 1,900 |
Jan 23, 2025 | 93.61 | 93.74 | 93.61 | 93.74 | 92.53 | 17,900 |
Jan 22, 2025 | 94.10 | 94.10 | 93.89 | 93.89 | 92.67 | 700 |
Jan 21, 2025 | 93.94 | 94.32 | 93.94 | 94.22 | 93.00 | 5,300 |
Jan 17, 2025 | 93.77 | 93.77 | 93.62 | 93.62 | 92.41 | 100 |
Jan 16, 2025 | 93.56 | 93.56 | 93.54 | 93.54 | 92.33 | 300 |
Jan 15, 2025 | 93.22 | 93.31 | 93.22 | 93.31 | 92.10 | 700 |
Jan 14, 2025 | 92.02 | 92.27 | 92.02 | 92.27 | 91.08 | 600 |
Jan 13, 2025 | 92.24 | 92.24 | 92.23 | 92.23 | 91.04 | 300 |
Jan 10, 2025 | 92.39 | 92.39 | 92.39 | 92.39 | 91.20 | 300 |
Jan 8, 2025 | 92.84 | 92.98 | 92.83 | 92.98 | 91.78 | 500 |
Jan 7, 2025 | 92.79 | 92.83 | 92.79 | 92.83 | 91.63 | 200 |
Jan 6, 2025 | 93.37 | 93.37 | 93.23 | 93.26 | 92.05 | 1,000 |
Jan 3, 2025 | 93.83 | 93.83 | 93.46 | 93.46 | 92.25 | 500 |
Jan 2, 2025 | 93.84 | 93.84 | 93.64 | 93.64 | 92.43 | 800 |
Dec 31, 2024 | 93.63 | 93.63 | 93.63 | 93.63 | 92.42 | 100 |
Dec 30, 2024 | 93.91 | 93.91 | 93.91 | 93.91 | 92.69 | 400 |
Dec 27, 2024 | 93.55 | 93.55 | 93.55 | 93.55 | 92.34 | 200 |
Dec 26, 2024 | 93.69 | 93.94 | 93.69 | 93.90 | 92.68 | 1,100 |
Dec 24, 2024 | 93.48 | 93.78 | 93.42 | 93.78 | 92.57 | 1,100 |
Dec 23, 2024 | 93.71 | 93.71 | 93.55 | 93.55 | 92.34 | 1,400 |
Dec 20, 2024 | 93.68 | 94.07 | 93.68 | 93.79 | 92.57 | 900 |
Dec 19, 2024 | 0.42 Dividend | |||||
Dec 19, 2024 | 93.59 | 93.59 | 93.32 | 93.52 | 92.31 | 800 |
Dec 18, 2024 | 95.37 | 95.37 | 94.43 | 94.43 | 92.80 | 300 |
Dec 17, 2024 | 95.44 | 95.44 | 95.41 | 95.42 | 93.77 | 1,600 |
Dec 16, 2024 | 95.43 | 95.48 | 95.43 | 95.48 | 93.83 | 4,600 |
Dec 13, 2024 | 95.72 | 95.72 | 95.29 | 95.31 | 93.66 | 4,600 |
Dec 12, 2024 | 95.79 | 95.79 | 95.79 | 95.79 | 94.13 | 100 |
Dec 11, 2024 | 96.71 | 96.71 | 96.40 | 96.42 | 94.75 | 1,800 |
Dec 10, 2024 | 96.54 | 96.66 | 96.48 | 96.66 | 94.99 | 2,500 |
Dec 9, 2024 | 96.64 | 96.85 | 96.64 | 96.78 | 95.11 | 3,800 |
Dec 6, 2024 | 96.96 | 97.00 | 96.92 | 97.00 | 95.33 | 2,600 |
Dec 5, 2024 | 96.70 | 96.86 | 96.59 | 96.85 | 95.18 | 1,600 |
Dec 4, 2024 | 96.26 | 96.81 | 96.26 | 96.78 | 95.11 | 700 |
Dec 3, 2024 | 96.42 | 96.42 | 96.36 | 96.36 | 94.70 | 800 |
Dec 2, 2024 | 0.42 Dividend | |||||
Dec 2, 2024 | 96.35 | 96.61 | 96.35 | 96.61 | 94.94 | 400 |
Nov 29, 2024 | 96.77 | 96.84 | 96.74 | 96.84 | 94.76 | 1,700 |
Nov 27, 2024 | 96.13 | 96.39 | 96.13 | 96.32 | 94.25 | 1,200 |
Nov 26, 2024 | 95.87 | 95.98 | 95.87 | 95.98 | 93.92 | 400 |
Nov 25, 2024 | 95.97 | 96.21 | 95.97 | 96.21 | 94.14 | 3,800 |
Nov 22, 2024 | 95.00 | 95.13 | 95.00 | 95.06 | 93.01 | 500 |
Nov 21, 2024 | 95.24 | 95.24 | 95.03 | 95.03 | 92.99 | 1,200 |
Nov 20, 2024 | 95.10 | 95.13 | 95.06 | 95.06 | 93.01 | 13,300 |
Nov 19, 2024 | 95.40 | 95.40 | 95.32 | 95.36 | 93.31 | 1,200 |
Nov 18, 2024 | 94.82 | 95.14 | 94.82 | 95.14 | 93.09 | 3,100 |
Nov 15, 2024 | 94.61 | 94.94 | 94.61 | 94.94 | 92.90 | 1,400 |
Nov 14, 2024 | 95.09 | 95.19 | 94.96 | 94.96 | 92.92 | 900 |
Nov 13, 2024 | 94.97 | 95.07 | 94.95 | 94.95 | 92.91 | 600 |
Nov 12, 2024 | 95.69 | 95.69 | 95.36 | 95.36 | 93.31 | 500 |
Nov 11, 2024 | 96.16 | 96.27 | 96.15 | 96.24 | 94.17 | 7,800 |
Nov 8, 2024 | 96.31 | 96.36 | 96.26 | 96.36 | 94.29 | 900 |
Nov 7, 2024 | 95.46 | 96.02 | 95.38 | 95.99 | 93.93 | 1,100 |
Nov 6, 2024 | 94.74 | 94.94 | 94.67 | 94.90 | 92.86 | 1,900 |
Nov 5, 2024 | 95.27 | 95.81 | 95.12 | 95.80 | 93.74 | 1,800 |
Nov 4, 2024 | 95.51 | 95.51 | 95.25 | 95.36 | 93.31 | 2,700 |
Nov 1, 2024 | 0.41 Dividend | |||||
Nov 1, 2024 | 94.70 | 94.70 | 94.70 | 94.70 | 92.66 | 700 |
Oct 31, 2024 | 95.61 | 95.74 | 95.42 | 95.62 | 93.16 | 4,000 |
Oct 30, 2024 | 95.93 | 96.10 | 95.78 | 95.78 | 93.32 | 2,000 |
Oct 29, 2024 | 95.83 | 95.88 | 95.83 | 95.88 | 93.42 | 1,100 |
Oct 28, 2024 | 95.78 | 95.78 | 95.76 | 95.77 | 93.31 | 1,900 |
Oct 25, 2024 | 96.25 | 96.25 | 95.84 | 95.84 | 93.38 | 800 |
Oct 24, 2024 | 95.84 | 96.17 | 95.84 | 96.07 | 93.60 | 3,000 |
Oct 23, 2024 | 95.88 | 95.89 | 95.64 | 95.77 | 93.31 | 600 |
Oct 22, 2024 | 96.08 | 96.08 | 96.08 | 96.08 | 93.61 | 800 |
Oct 21, 2024 | 96.41 | 96.41 | 96.06 | 96.06 | 93.59 | 900 |
Oct 18, 2024 | 97.24 | 97.25 | 97.02 | 97.02 | 94.53 | 1,200 |
Oct 17, 2024 | 97.28 | 97.28 | 97.11 | 97.16 | 94.66 | 2,300 |
Oct 16, 2024 | 97.65 | 97.80 | 97.65 | 97.80 | 95.29 | 700 |
Oct 15, 2024 | 97.42 | 97.53 | 97.42 | 97.53 | 95.02 | 500 |
Oct 14, 2024 | 97.08 | 97.08 | 97.08 | 97.08 | 94.59 | 100 |
Oct 11, 2024 | 96.90 | 97.04 | 96.90 | 97.04 | 94.55 | 500 |
Oct 10, 2024 | 97.05 | 97.10 | 96.95 | 97.10 | 94.60 | 1,200 |
Oct 9, 2024 | 97.20 | 97.20 | 97.04 | 97.16 | 94.66 | 500 |
Oct 8, 2024 | 97.35 | 97.35 | 97.35 | 97.35 | 94.85 | 300 |
Oct 7, 2024 | 97.46 | 97.46 | 97.21 | 97.22 | 94.72 | 1,100 |
Oct 4, 2024 | 97.72 | 97.72 | 97.59 | 97.65 | 95.14 | 1,700 |
Oct 3, 2024 | 98.46 | 98.52 | 98.26 | 98.26 | 95.73 | 2,900 |
Oct 2, 2024 | 98.73 | 98.75 | 98.73 | 98.75 | 96.21 | 600 |
Oct 1, 2024 | 0.38 Dividend | |||||
Oct 1, 2024 | 99.00 | 99.07 | 98.81 | 98.94 | 96.40 | 1,100 |
Sep 30, 2024 | 99.11 | 99.11 | 98.81 | 98.92 | 96.01 | 1,700 |
Sep 27, 2024 | 99.15 | 99.15 | 99.15 | 99.15 | 96.23 | 300 |
Sep 26, 2024 | 98.64 | 98.79 | 98.64 | 98.79 | 95.88 | 3,000 |
Sep 25, 2024 | 98.97 | 98.98 | 98.80 | 98.80 | 95.89 | 3,200 |
Sep 24, 2024 | 98.95 | 99.38 | 98.95 | 99.36 | 96.44 | 3,000 |
Sep 23, 2024 | 99.05 | 99.36 | 99.05 | 99.22 | 96.30 | 2,800 |
Sep 20, 2024 | 99.08 | 99.34 | 99.06 | 99.33 | 96.41 | 2,200 |
Sep 19, 2024 | 99.22 | 99.40 | 99.22 | 99.27 | 96.35 | 2,200 |
Sep 18, 2024 | 99.28 | 99.34 | 99.17 | 99.17 | 96.25 | 4,000 |
Sep 17, 2024 | 99.70 | 99.70 | 99.51 | 99.54 | 96.61 | 1,900 |
Sep 16, 2024 | 99.25 | 99.57 | 99.25 | 99.55 | 96.62 | 5,900 |
Sep 13, 2024 | 99.22 | 99.22 | 99.14 | 99.14 | 96.22 | 300 |
Sep 12, 2024 | 98.70 | 98.82 | 98.64 | 98.82 | 95.91 | 4,000 |
Sep 11, 2024 | 98.92 | 98.92 | 98.68 | 98.87 | 95.96 | 800 |
Sep 10, 2024 | 98.59 | 98.83 | 98.59 | 98.82 | 95.91 | 13,400 |
Sep 9, 2024 | 98.29 | 98.62 | 98.29 | 98.57 | 95.67 | 1,600 |
Sep 6, 2024 | 98.42 | 98.42 | 98.33 | 98.35 | 95.46 | 1,800 |
Sep 5, 2024 | 98.20 | 98.46 | 97.93 | 98.44 | 95.54 | 2,600 |
Sep 4, 2024 | 97.53 | 97.91 | 97.53 | 97.91 | 95.03 | 2,300 |
Sep 3, 2024 | 0.41 Dividend | |||||
Sep 3, 2024 | 97.43 | 97.50 | 97.26 | 97.37 | 94.50 | 2,500 |
Aug 30, 2024 | 97.45 | 97.45 | 97.42 | 97.42 | 94.15 | 200 |
Aug 29, 2024 | 97.74 | 97.80 | 97.72 | 97.72 | 94.44 | 2,500 |
Aug 28, 2024 | 97.94 | 97.96 | 97.93 | 97.93 | 94.64 | 2,400 |
Aug 27, 2024 | 97.85 | 98.13 | 97.82 | 98.13 | 94.84 | 5,400 |
Aug 26, 2024 | 98.41 | 98.45 | 98.17 | 98.21 | 94.91 | 3,000 |
Aug 23, 2024 | 98.25 | 98.25 | 98.25 | 98.25 | 94.95 | 200 |
Aug 22, 2024 | 97.96 | 97.96 | 97.69 | 97.69 | 94.41 | 700 |
Aug 21, 2024 | 98.07 | 98.17 | 98.03 | 98.11 | 94.82 | 17,800 |
Aug 20, 2024 | 97.61 | 97.89 | 97.61 | 97.89 | 94.61 | 1,000 |
Aug 19, 2024 | 97.67 | 97.76 | 97.65 | 97.65 | 94.38 | 700 |
Aug 16, 2024 | 97.46 | 97.46 | 97.46 | 97.46 | 94.18 | 100 |
Aug 15, 2024 | 97.01 | 97.12 | 97.01 | 97.12 | 93.86 | 200 |
Aug 14, 2024 | 97.19 | 97.41 | 97.12 | 97.40 | 94.13 | 1,100 |
Aug 13, 2024 | 96.70 | 96.99 | 96.67 | 96.96 | 93.70 | 2,300 |
Aug 12, 2024 | 95.98 | 96.35 | 95.98 | 96.35 | 93.12 | 500 |
Aug 9, 2024 | 96.28 | 96.30 | 96.18 | 96.18 | 92.95 | 4,500 |
Aug 8, 2024 | 95.67 | 95.67 | 95.67 | 95.67 | 92.46 | 200 |
Aug 7, 2024 | 95.90 | 95.92 | 95.70 | 95.70 | 92.49 | 500 |
Aug 6, 2024 | 96.33 | 96.33 | 96.06 | 96.06 | 92.84 | 300 |
Aug 5, 2024 | 96.65 | 96.65 | 96.46 | 96.56 | 93.32 | 1,300 |
Aug 2, 2024 | 96.87 | 96.87 | 96.87 | 96.87 | 93.62 | 100 |
Aug 1, 2024 | 0.56 Dividend | |||||
Aug 1, 2024 | 96.00 | 96.00 | 96.00 | 96.00 | 92.78 | 200 |
Jul 31, 2024 | 96.11 | 96.21 | 96.08 | 96.21 | 92.44 | 1,200 |
Jul 30, 2024 | 95.68 | 95.72 | 95.68 | 95.72 | 91.97 | 152,000 |
Jul 29, 2024 | 95.68 | 95.71 | 95.49 | 95.63 | 91.88 | 700 |
Jul 26, 2024 | 95.39 | 95.39 | 95.39 | 95.39 | 91.65 | 100 |
Jul 25, 2024 | 94.98 | 94.98 | 94.92 | 94.92 | 91.20 | 500 |
Jul 24, 2024 | 95.09 | 95.16 | 94.65 | 94.65 | 90.94 | 1,900 |
Jul 23, 2024 | 95.25 | 95.25 | 95.15 | 95.15 | 91.42 | 300 |
Jul 22, 2024 | 95.23 | 95.23 | 95.23 | 95.23 | 91.49 | 300 |
Jul 19, 2024 | 95.26 | 95.26 | 95.26 | 95.26 | 91.53 | 100 |
Jul 18, 2024 | 95.60 | 95.60 | 95.60 | 95.60 | 91.85 | 100 |
Jul 17, 2024 | 95.97 | 95.97 | 95.97 | 95.97 | 92.21 | 300 |
Jul 16, 2024 | 95.76 | 95.93 | 95.76 | 95.93 | 92.17 | 300 |
Jul 15, 2024 | 95.47 | 95.47 | 95.47 | 95.47 | 91.72 | 300 |
Jul 12, 2024 | 95.60 | 96.00 | 95.52 | 96.00 | 92.24 | 2,000 |
Jul 11, 2024 | 95.72 | 95.72 | 95.64 | 95.68 | 91.93 | 1,100 |
Jul 10, 2024 | 95.05 | 95.11 | 95.05 | 95.11 | 91.38 | 1,200 |
Jul 9, 2024 | 94.92 | 94.92 | 94.92 | 94.92 | 91.20 | 100 |
Jul 8, 2024 | 95.13 | 95.13 | 95.12 | 95.12 | 91.39 | 700 |
Jul 5, 2024 | 95.00 | 95.11 | 95.00 | 95.11 | 91.38 | 2,800 |
Jul 3, 2024 | 94.60 | 94.60 | 94.60 | 94.60 | 90.89 | 100 |
Jul 2, 2024 | 93.72 | 93.97 | 93.72 | 93.97 | 90.29 | 2,000 |
Jul 1, 2024 | 0.42 Dividend | |||||
Jul 1, 2024 | 93.62 | 93.62 | 93.45 | 93.45 | 89.79 | 1,900 |
Jun 28, 2024 | 94.56 | 94.56 | 94.42 | 94.42 | 90.31 | 1,800 |
Jun 27, 2024 | 94.98 | 94.98 | 94.91 | 94.93 | 90.79 | 700 |
Jun 26, 2024 | 94.73 | 94.73 | 94.73 | 94.73 | 90.61 | 100 |
Jun 25, 2024 | 95.22 | 95.28 | 95.22 | 95.28 | 91.13 | 1,600 |
Jun 24, 2024 | 95.28 | 95.28 | 95.28 | 95.28 | 91.14 | 100 |
Jun 21, 2024 | 95.28 | 95.28 | 94.99 | 95.15 | 91.01 | 900 |
Jun 20, 2024 | 95.06 | 95.18 | 94.92 | 95.12 | 90.98 | 2,300 |
Jun 18, 2024 | 95.34 | 95.42 | 95.29 | 95.42 | 91.27 | 600 |
Jun 17, 2024 | 94.93 | 94.99 | 94.93 | 94.97 | 90.83 | 700 |
Jun 14, 2024 | 95.36 | 95.41 | 95.36 | 95.41 | 91.26 | 500 |
Jun 13, 2024 | 95.43 | 95.43 | 95.35 | 95.42 | 91.27 | 2,000 |
Jun 12, 2024 | 95.35 | 95.46 | 94.95 | 94.95 | 90.82 | 1,000 |
Jun 11, 2024 | 94.08 | 94.48 | 94.08 | 94.40 | 90.30 | 14,400 |
Jun 10, 2024 | 94.04 | 94.04 | 94.04 | 94.04 | 89.95 | 800 |
Jun 7, 2024 | 94.02 | 94.30 | 94.02 | 94.20 | 90.10 | 1,600 |
Jun 6, 2024 | 94.92 | 95.06 | 94.92 | 95.03 | 90.89 | 2,100 |
Jun 5, 2024 | 95.00 | 95.00 | 95.00 | 95.00 | 90.87 | 300 |
Jun 4, 2024 | 94.73 | 94.74 | 94.73 | 94.74 | 90.62 | 1,300 |
Jun 3, 2024 | 0.43 Dividend | |||||
Jun 3, 2024 | 94.35 | 94.36 | 94.35 | 94.36 | 90.26 | 500 |
May 31, 2024 | 94.20 | 94.20 | 94.20 | 94.20 | 89.69 | 100 |
May 30, 2024 | 93.74 | 93.74 | 93.74 | 93.74 | 89.26 | 100 |
May 29, 2024 | 93.19 | 93.24 | 93.19 | 93.24 | 88.78 | 500 |
May 28, 2024 | 93.73 | 93.73 | 93.68 | 93.68 | 89.20 | 700 |
May 24, 2024 | 94.20 | 94.20 | 94.20 | 94.20 | 89.69 | 100 |
May 23, 2024 | 93.91 | 94.03 | 93.91 | 94.03 | 89.53 | 500 |
May 22, 2024 | 94.24 | 94.38 | 94.24 | 94.38 | 89.86 | 300 |
May 21, 2024 | 94.60 | 94.63 | 94.53 | 94.54 | 90.02 | 3,500 |
May 20, 2024 | 94.32 | 94.37 | 94.31 | 94.37 | 89.86 | 1,100 |
May 17, 2024 | 94.51 | 94.51 | 94.40 | 94.41 | 89.89 | 1,400 |
May 16, 2024 | 94.61 | 94.61 | 94.61 | 94.61 | 90.08 | 400 |
May 15, 2024 | 94.73 | 94.73 | 94.73 | 94.73 | 90.20 | 100 |
May 14, 2024 | 93.98 | 93.98 | 93.97 | 93.97 | 89.48 | 200 |
May 13, 2024 | 93.81 | 93.88 | 93.65 | 93.67 | 89.19 | 3,900 |
May 10, 2024 | 93.65 | 93.66 | 93.54 | 93.66 | 89.18 | 1,000 |
May 9, 2024 | 94.07 | 94.07 | 93.96 | 93.96 | 89.47 | 300 |
May 8, 2024 | 93.88 | 93.88 | 93.83 | 93.83 | 89.34 | 500 |
May 7, 2024 | 94.05 | 94.05 | 94.05 | 94.05 | 89.55 | 100 |
May 6, 2024 | 93.98 | 93.98 | 93.98 | 93.98 | 89.49 | 200 |
May 3, 2024 | 93.75 | 93.75 | 93.75 | 93.75 | 89.26 | 100 |
May 2, 2024 | 92.61 | 93.14 | 92.61 | 93.11 | 88.66 | 600 |
May 1, 2024 | 0.42 Dividend | |||||
May 1, 2024 | 92.49 | 92.94 | 92.44 | 92.65 | 88.22 | 3,300 |
Apr 30, 2024 | 92.90 | 92.90 | 92.64 | 92.64 | 87.80 | 900 |
Apr 29, 2024 | 93.10 | 93.15 | 93.10 | 93.14 | 88.28 | 1,600 |
Apr 26, 2024 | 92.76 | 92.76 | 92.76 | 92.76 | 87.92 | 100 |
Apr 25, 2024 | 92.39 | 92.43 | 92.37 | 92.43 | 87.61 | 600 |
Apr 24, 2024 | 92.69 | 92.71 | 92.68 | 92.68 | 87.85 | 3,000 |
Apr 23, 2024 | 93.09 | 93.12 | 93.04 | 93.04 | 88.19 | 400 |
Apr 22, 2024 | 92.87 | 92.92 | 92.87 | 92.89 | 88.04 | 800 |
Apr 19, 2024 | 92.75 | 92.75 | 92.62 | 92.62 | 87.79 | 300 |
Apr 18, 2024 | 92.52 | 92.52 | 92.52 | 92.52 | 87.69 | 200 |
Apr 17, 2024 | 92.56 | 92.80 | 92.56 | 92.71 | 87.88 | 400 |
Apr 16, 2024 | 92.23 | 92.23 | 92.22 | 92.22 | 87.41 | 600 |
Apr 15, 2024 | 92.64 | 92.65 | 92.53 | 92.53 | 87.71 | 1,300 |
Apr 12, 2024 | 93.57 | 93.61 | 93.55 | 93.55 | 88.67 | 4,400 |
Apr 11, 2024 | 93.37 | 93.37 | 93.26 | 93.34 | 88.48 | 200 |
Apr 10, 2024 | 93.62 | 93.62 | 93.45 | 93.45 | 88.58 | 200 |
Apr 9, 2024 | 94.67 | 94.72 | 94.64 | 94.72 | 89.78 | 2,400 |
Apr 8, 2024 | 94.31 | 94.31 | 94.31 | 94.31 | 89.39 | 200 |
Apr 5, 2024 | 94.35 | 94.43 | 94.22 | 94.22 | 89.31 | 4,300 |
Apr 4, 2024 | 94.84 | 94.86 | 94.71 | 94.71 | 89.77 | 900 |
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IYK iShares US Consumer Staples ETF
72.42
+1.57%
MFLX First Trust Flexible Municipal High Income ETF
17.12
+1.54%
LGOV First Trust Long Duration Opportunities ETF
21.86
+1.20%
IEF iShares 7-10 Year Treasury Bond ETF
96.29
+1.03%
TDTF FlexShares iBoxx 5-Year Target Duration TIPS Index Fund
24.20
+0.92%
SPTI SPDR Portfolio Intermediate Term Treasury ETF
28.77
+0.91%
VGIT Vanguard Intermediate-Term Treasury Index Fund ETF Shares
59.81
+0.91%
TLH iShares 10-20 Year Treasury Bond ETF
104.85
+0.89%
SCHR Schwab Intermediate-Term U.S. Treasury ETF
25.03
+0.89%
IEI iShares 3-7 Year Treasury Bond ETF
118.90
+0.87%
GOVI Invesco Equal Weight 0-30 Years Treasury ETF
28.17
+0.86%
HTAB Hartford Schroders Tax-Aware Bond ETF
19.29
+0.81%
MBSD FlexShares Disciplined Duration MBS Index Fund
20.75
+0.79%
JMBS Janus Henderson Mortgage-Backed Securities ETF
45.39
+0.78%
FFIU Fieldstone UVA Unconstrained Medium-Term Fixed Income ETF
22.07
+0.77%
BIV Vanguard Intermediate-Term Bond Index Fund
77.05
+0.71%
VMBS Vanguard Mortgage-Backed Securities Index Fund ETF Shares
46.52
+0.69%
GNMA iShares GNMA Bond ETF
44.08
+0.66%
PBTP Invesco 0-5 Yr US TIPS ETF
26.11
+0.64%
NEAR iShares Short Duration Bond Active ETF
51.00
+0.63%
VTIP Vanguard Short-Term Inflation-Protected Securities Index Fund ETF Shares
50.06
+0.60%
SCHP Schwab U.S. TIPS ETF
26.93
+0.60%
FMB First Trust Managed Municipal ETF
50.79
+0.59%
STIP iShares 0-5 Year TIPS Bond ETF
103.27
+0.58%
HMOP Hartford Municipal Opportunities ETF
38.71
+0.57%
UITB VictoryShares Core Intermediate Bond ETF
47.29
+0.56%
JMUB JPMorgan Municipal ETF
50.20
+0.54%
CEW WisdomTree Emerging Currency Strategy Fund
17.66
+0.54%
ECH iShares MSCI Chile ETF
30.07
+0.53%
FBND Fidelity Total Bond ETF
45.96
+0.52%
MUNI PIMCO Intermediate Municipal Bond Active Exchange-Traded Fund
51.80
+0.52%
AGZ iShares Agency Bond ETF
109.66
+0.51%
JCPB JPMorgan Core Plus Bond ETF
47.16
+0.47%
SCHO Schwab Short-Term U.S. Treasury ETF
24.36
+0.45%
CMBS iShares CMBS ETF
48.23
+0.44%
VGSH Vanguard Short-Term Treasury Index Fund ETF Shares
58.71
+0.39%
IGSB iShares 1-5 Year Investment Grade Corporate Bond ETF
52.38
+0.34%
SPTS SPDR Portfolio Short Term Treasury ETF
29.24
+0.34%
VCIT Vanguard Intermediate-Term Corporate Bond Index Fund ETF Shares
82.01
+0.34%
MMIT NYLI MacKay Muni Intermediate ETF
24.04
+0.33%
FLMI Franklin Dynamic Municipal Bond ETF
24.53
+0.33%
SKOR FlexShares Credit-Scored US Corporate Bond Index Fund
48.38
+0.31%
IGIB iShares 5-10 Year Investment Grade Corporate Bond ETF
52.65
+0.30%
VCSH Vanguard Short-Term Corporate Bond Index Fund ETF Shares
78.96
+0.29%
FSTA Fidelity MSCI Consumer Staples Index ETF
51.45
+0.27%
SPIB SPDR Portfolio Intermediate Term Corporate Bond ETF
33.28
+0.27%
CORP PIMCO Investment Grade Corporate Bond Index Exchange-Traded Fund
97.02
+0.27%
JPIB JPMorgan International Bond Opportunities ETF
47.80
+0.25%
WINC Western Asset Short Duration Income ETF
24.14
+0.25%
USTB VictoryShares Short-Term Bond ETF
50.75
+0.24%
SLQD iShares 0-5 Year Investment Grade Corporate Bond ETF
50.25
+0.22%
VDC Vanguard Consumer Staples Index Fund ETF Shares
219.89
+0.21%
SPSB SPDR Portfolio Short Term Corporate Bond ETF
30.05
+0.20%
LMBS First Trust Low Duration Opportunities ETF
49.26
+0.18%
MEAR iShares Short Maturity Municipal Bond Active ETF
50.17
+0.14%
JPST JPMorgan Ultra-Short Income ETF
50.51
+0.12%
CBON VanEck China Bond ETF
22.02
+0.09%
JMST JPMorgan Ultra-Short Municipal Income ETF
50.79
+0.09%
PULS PGIM Ultra Short Bond ETF
49.56
+0.06%
GSY Invesco Ultra Short Duration ETF
50.15
+0.06%
GOEX Global X Gold Explorers ETF
37.52
+0.06%
IGEB iShares Investment Grade Systematic Bond ETF
45.03
+0.06%
FTSD Franklin Short Duration U.S. Government ETF
90.52
+0.04%
KORP American Century Diversified Corporate Bond ETF
46.79
+0.04%
SMMU PIMCO Short Term Municipal Bond Active Exchange-Traded Fund
50.05
+0.02%
VNLA Janus Henderson Short Duration Income ETF
48.96
-0.02%
VRIG Invesco Variable Rate Investment Grade ETF
25.07
-0.04%
RING iShares MSCI Global Gold Miners ETF
38.24
-0.10%
FLOT iShares Floating Rate Bond ETF
50.83
-0.14%
EWL iShares MSCI Switzerland ETF
51.41
-0.16%
FLRN SPDR Bloomberg Investment Grade Floating Rate ETF
30.68
-0.16%
LQDI iShares Inflation Hedged Corporate Bond ETF
26.03
-0.20%
CEMB iShares J.P. Morgan EM Corporate Bond ETF
44.90
-0.24%
FLTR VanEck IG Floating Rate ETF
25.39
-0.24%
BSJP Invesco BulletShares 2025 High Yield Corporate Bond ETF
23.02
-0.26%
DRSK Aptus Defined Risk ETF
27.48
-0.29%
GII SPDR S&P Global Infrastructure ETF
62.64
-0.32%
PPH VanEck Pharmaceutical ETF
88.89
-0.37%
IXJ iShares Global Healthcare ETF
89.66
-0.40%
IGLB iShares 10+ Year Investment Grade Corporate Bond ETF
50.23
-0.42%
LKOR FlexShares Credit-Scored US Long Corporate Bond Index Fund
42.44
-0.43%
VCLT Vanguard Long-Term Corporate Bond Index Fund ETF Shares
75.89
-0.45%
EDIV SPDR S&P Emerging Markets Dividend ETF
35.72
-0.50%
VPU Vanguard Utilities Index Fund ETF Shares
171.04
-0.53%
FUTY Fidelity MSCI Utilities Index ETF
51.02
-0.55%
IAU iShares Gold Trust
58.60
-0.59%
FLRT Pacer Pacific Asset Floating Rate High Income ETF
46.77
-0.60%
GLD SPDR Gold Shares
286.42
-0.60%
XLU The Utilities Select Sector SPDR Fund
78.92
-0.63%
FXU First Trust Utilities AlphaDEX Fund
41.13
-0.68%
FLBL Franklin Senior Loan ETF
23.74
-0.69%
KBWP Invesco KBW Property & Casualty Insurance ETF
124.13
-0.70%
PIZ Invesco Dorsey Wright Developed Markets Momentum ETF
38.19
-0.73%
TUR iShares MSCI Turkey ETF
32.20
-0.74%
CGW Invesco S&P Global Water Index ETF
55.85
-0.79%
FPE First Trust Preferred Securities and Income ETF
17.46
-0.80%
XLV The Health Care Select Sector SPDR Fund
143.13
-0.81%
NFTY First Trust India NIFTY 50 Equal Weight ETF
55.40
-0.83%
SMIN iShares MSCI India Small-Cap ETF
68.63
-0.84%