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Paramount Global (0VV.DU)

Dusseldorf - Dusseldorf Delayed price. Currency in EUR
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20.50-0.35 (-1.68%)
As of 12:30PM CEST. Market open.
Time period:
26 Apr 2023 - 26 Apr 2024
Show:
Historical prices
Frequency:
Daily
Currency in EURDownload
DateOpenHighLowClose*Adj. close**Volume
26 Apr 202420.6020.6020.5020.5020.50800
25 Apr 202421.1021.1020.8520.8520.85-
24 Apr 202421.3021.5021.2021.3521.35-
23 Apr 202420.9021.4020.8021.4021.40-
22 Apr 202421.1521.3021.1521.2521.25-
19 Apr 202419.9821.0519.9821.0521.05-
18 Apr 202419.4019.9419.2619.9419.94-
17 Apr 202419.2819.4819.2819.3819.38-
16 Apr 202419.6019.6819.5419.6819.68-
15 Apr 202419.9620.1519.9219.9219.92-
12 Apr 202421.3021.4520.8520.8520.85-
11 Apr 202421.0021.0520.7021.0521.05-
10 Apr 202421.4521.5020.9520.9520.95-
09 Apr 202421.7022.0521.5521.7021.70-
08 Apr 202421.2021.8021.2021.8021.80-
05 Apr 202420.9021.1020.9021.1021.10-
04 Apr 202420.1021.0020.1021.0021.00-
03 Apr 202419.2419.3019.2219.2219.22-
02 Apr 202419.4619.4619.2219.2219.22-
28 Mar 202420.1020.5020.1020.1020.10-
27 Mar 202419.3019.8019.3019.8019.80-
26 Mar 202419.5519.8519.5519.8519.85-
25 Mar 202418.9519.7018.9019.7019.70-
22 Mar 202419.9519.9519.2019.2019.20-
21 Mar 202421.7021.7020.7020.7020.70-
20 Mar 202419.4520.8019.4520.8020.80-
19 Mar 202419.5519.9519.4519.9519.95-
18 Mar 202420.4020.4019.6519.7519.75-
15 Mar 202419.7520.0019.7520.0020.00-
14 Mar 202420.1020.1019.8519.8519.85-
14 Mar 20240.05 Dividend
13 Mar 202419.7019.9019.5019.8519.80-
12 Mar 202419.4019.6519.2019.4019.35-
11 Mar 202418.3519.6518.3519.6519.60-
08 Mar 202418.4518.8018.2018.8018.75-
07 Mar 202417.9518.8017.8518.8018.75-
06 Mar 202417.7018.1517.7018.1018.05-
05 Mar 202418.2018.5518.2018.4018.35-
04 Mar 202418.7518.8018.2518.2518.20-
01 Mar 202419.2519.3519.0519.0519.00-
29 Feb 202419.4019.9519.3519.9519.90-
28 Feb 202419.6019.7019.5519.7019.65-
27 Feb 202418.9519.2518.9019.1519.10-
26 Feb 202418.5518.9018.5518.9018.85-
23 Feb 202418.6018.7018.5518.7018.65-
22 Feb 202419.1519.1518.7518.7518.70-
21 Feb 202419.3019.3519.1519.2019.15-
20 Feb 202419.7519.7519.4019.5019.45-
19 Feb 202419.8519.9019.8019.8019.75-
16 Feb 202420.1020.2019.9519.9519.90-
15 Feb 202420.2020.5019.9519.9519.90-
14 Feb 202420.2020.4020.2020.3020.25-
13 Feb 202420.8020.8019.9520.2020.15-
12 Feb 202418.9020.2018.9020.2020.15-
09 Feb 202418.7519.3018.7519.2519.20-
08 Feb 202418.5518.8018.5518.8018.75-
07 Feb 202419.9020.0019.0019.0018.95-
06 Feb 202419.9520.4019.9520.2020.15-
05 Feb 202421.1021.1020.5020.5020.45-
02 Feb 202421.2021.3021.1021.1021.05-
01 Feb 202421.3022.2021.3021.5021.45-
31 Jan 202423.2023.2020.7021.9021.84-
30 Jan 202417.6517.9517.6517.9517.90-
29 Jan 202417.6017.7017.6017.7017.66-
26 Jan 202417.7017.8517.5517.7017.66-
25 Jan 202417.7517.8016.9517.7017.66-
24 Jan 202417.5017.5016.9516.9516.91-
23 Jan 202417.5517.8017.5517.6517.61-
22 Jan 202417.0017.8017.0017.5017.46-
19 Jan 202416.5016.7516.3016.7516.71-
18 Jan 202416.4016.5516.4016.5516.51-
17 Jan 202416.5516.7016.5016.5016.46-
16 Jan 202416.3016.7516.2516.7016.66-
15 Jan 202416.2516.3516.2516.2516.21-
12 Jan 202416.3516.7516.3516.7516.71-
11 Jan 202417.0517.0516.3516.6016.56-
10 Jan 202417.1517.2517.1017.2017.16-
09 Jan 202417.7017.7517.5017.5017.46-
08 Jan 202417.5518.0517.5018.0518.00-
05 Jan 202417.3518.1517.3017.9517.90-
04 Jan 202417.1017.5017.0517.5017.46-
03 Jan 202417.2517.2516.9017.1017.06-
02 Jan 202417.5517.5517.4517.5017.46-
29 Dec 202317.8517.8517.7017.7517.71-
28 Dec 202317.5018.1017.4518.0017.95-
27 Dec 202317.9517.9517.7017.7517.71-
22 Dec 202318.1018.4018.1018.3018.25-
21 Dec 202318.0518.2518.0018.2518.20-
20 Dec 202319.1019.4019.0519.1519.10-
19 Dec 202319.1019.1519.1019.1519.10-
18 Dec 202319.7019.7019.2019.2019.15-
15 Dec 202319.9520.4019.4519.4519.40-
14 Dec 202319.1020.1019.1020.1020.05-
14 Dec 20230.05 Dividend
13 Dec 202318.7518.7518.0518.5018.40-
12 Dec 202318.7518.7518.5518.6018.50-
11 Dec 202318.9518.9518.5018.8018.70-
08 Dec 202317.0519.4517.0019.4519.35-
07 Dec 202317.2517.3017.1017.1017.01-
06 Dec 202317.3017.6517.3017.6017.51-
*Close price adjusted for splits.**Close price adjusted for splits and dividend and/or capital gain distributions.
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