Position dérivée des transactions déclarées les plus récentes. Non ajustée des splits ni des conversions de classes d'actions.
| Émetteur | Actions | Source | Dernière tx | Détail |
|---|---|---|---|---|
| RIVUS BOND FUND | 9 260 | déclaré | 02 nov. 2011 | tx 554+458 467−774 668 |
| Date | Type | Émetteur | Quantité | Prix | Signaux |
|---|---|---|---|---|---|
| 01 nov. 2011 | SALE | RIVUS BOND FUND | 1 000 | 18.29 USD | |
| 02 nov. 2011 | SALE | RIVUS BOND FUND | 900 | 18.33 USD | |
| 01 nov. 2011 | SALE | RIVUS BOND FUND | 2 300 | 18.21 USD | |
| 01 nov. 2011 | SALE | RIVUS BOND FUND | 3 100 | 18.26 USD | |
| 01 nov. 2011 | SALE | RIVUS BOND FUND | 600 | 18.27 USD | |
| 01 nov. 2011 | SALE | RIVUS BOND FUND | 2 300 | 18.28 USD | |
| 02 nov. 2011 | SALE | RIVUS BOND FUND | 8 360 | 18.37 USD | |
| 01 nov. 2011 | SALE | RIVUS BOND FUND | 14 700 | 18.30 USD | |
| 01 nov. 2011 | SALE | RIVUS BOND FUND | 1 000 | 18.33 USD | |
| 02 nov. 2011 | SALE | RIVUS BOND FUND | 175 | 18.29 USD | |
| 02 nov. 2011 | SALE | RIVUS BOND FUND | 200 | 18.32 USD | |
| 31 oct. 2011 | SALE | RIVUS BOND FUND | 550 | 18.20 USD | |
| 31 oct. 2011 | SALE | RIVUS BOND FUND | 3 056 | 18.21 USD | |
| 31 oct. 2011 | SALE | RIVUS BOND FUND | 2 033 | 18.19 USD | |
| 31 oct. 2011 | SALE | RIVUS BOND FUND | 2 400 | 18.18 USD | |
| 28 oct. 2011 | SALE | RIVUS BOND FUND | 200 | 18.28 USD | |
| 28 oct. 2011 | SALE | RIVUS BOND FUND | 1 434 | 18.26 USD | |
| 28 oct. 2011 | SALE | RIVUS BOND FUND | 200 | 18.25 USD | |
| 31 oct. 2011 | SALE | RIVUS BOND FUND | 144 | 18.22 USD | |
| 31 oct. 2011 | SALE | RIVUS BOND FUND | 117 | 18.23 USD | |
| 31 oct. 2011 | SALE | RIVUS BOND FUND | 200 | 18.24 USD | |
| 31 oct. 2011 | SALE | RIVUS BOND FUND | 600 | 18.24 USD | |
| 27 oct. 2011 | SALE | RIVUS BOND FUND | 200 | 18.20 USD | |
| 27 oct. 2011 | SALE | RIVUS BOND FUND | 1 900 | 18.21 USD | |
| 27 oct. 2011 | SALE | RIVUS BOND FUND | 1 812 | 18.22 USD |