Quotes Amundi Prime Global Government Bond UCITS ETF Acc - EUR

ETF

PRAG

LU2089238971

Market Closed - 13:39:58 2026-08-21 EDT 5-day change 1st Jan Change
16.86 EUR -0.15% Intraday chart for Amundi Prime Global Government Bond UCITS ETF Acc - EUR -0.69% -1.56%
Current month-0.74%
1 month-1.33%

Quotes 5-day view: Amundi Prime Global Government Bond UCITS ETF Acc - EUR

Delayed Quote Deutsche Boerse AG
Amundi Prime Global Government Bond UCITS ETF Acc - EUR(PRAG) : Historical Chart (5-day)
  2026-08-17 2026-08-18 2026-08-19 2026-08-20 2026-08-21
Last €16.94 €16.92 €16.90 €16.89 €16.86
Change -0.22% -0.12% -0.15% -0.05% -0.15%

Other stock markets

Markets Price Change Volumes
London S.E.
PRIG 1,381.30GBX -0.06% 2.43M p
Borsa Italiana
ETFGG 16.12EUR -0.06% 37.04K
Tradegate
PR1G 16.12EUR -0.09% 419.22
Xetra
PR1G 16.08EUR -0.31% 209.11
Boerse Muenchen
PR1G 16.15EUR +0.11% 16.15
Deutsche Boerse AG
PR1G 15.96EUR -0.09% 0
Börse Stuttgart
PR1G 16.11EUR -0.09% 0
Xetra
PRAG 16.99EUR -0.40% 24.95K
Tradegate
PRAG 17.04EUR -0.15% 357.76
Deutsche Boerse AG
PRAG 16.86EUR -0.15% 0
Boerse Muenchen
PRAG 17.03EUR -0.08% 0
Börse Stuttgart
PRAG 17.02EUR -0.15% 0
Wiener Boerse
AN21 17.04EUR -0.13% 0
London S.E.
PRHG 10.10GBX -0.07% 0 p

Performance

1 week-0.69%
Current month-0.74%
1 month-1.33%
3 months-0.33%
6 months-2.60%
Current year-1.56%
1 year-1.35%
3 years-0.52%
5 years-16.22%

Indicators

Moving average 5 days
16.9
Moving average 20 days
17.03
Moving average 50 days
17.12
Moving average 100 days
17.06
Price spread / (MMA5)
+0.23%
Price spread / (MMA20)
+0.98%
Price spread / (MMA50)
+1.52%
Price spread / (MMA100)
+1.13%
RSI 9 days
27.32
RSI 14 days
32.71

Historical Quotes: Amundi Prime Global Government Bond UCITS ETF Acc - EUR

DateOpeningHighLowCloseVolumeChange

Description

LU2089238971
Total Expense Ratio 0.0005
Asset Class Fixed Income
Geographical Zones
Currency
Provider
Underlying Solactive Global Developed Government Bond GTR Index - EUR
Autres ETFs

Features and characteristics

Dividend Policy Capitalisation
Replication Method Physique
Jurisdiction
Fund Structure
Date of creation
2020-01-14
Bonds Characteristics
Credit Rating

Distribution

Retail investor

AuM evolution - 2026-08-11

AuM (EUR) 33.99M
AuM 1M 33.99M
AuM 3 months 33.99M
AuM 6 months 33.99M
AuM 12 months 33.99M
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