SQN Asset Finance Income Fund Limited 'C Shares' (SQNX) Share Price

Financial Services Sector


Date Open High Low Close* Volume
23/05/2017 104.00p 104.67p 103.00p 103.50p 44980
22/05/2017 103.25p 104.65p 103.25p 104.38p 26045
19/05/2017 103.50p 103.78p 102.75p 103.50p 42021
18/05/2017 104.50p 104.50p 102.50p 104.00p 89808
17/05/2017 104.50p 104.50p 102.50p 104.00p 137957
16/05/2017 102.50p 103.09p 102.00p 103.00p 743104
15/05/2017 102.25p 104.03p 101.75p 103.00p 38897
12/05/2017 102.25p 104.25p 102.25p 103.00p 55517
11/05/2017 102.00p 105.00p 102.00p 103.75p 34301
10/05/2017 103.75p 104.00p 101.75p 103.75p 76059
09/05/2017 101.72p 102.87p 101.72p 102.87p 21540
08/05/2017 103.00p 104.00p 101.25p 101.50p 109955
05/05/2017 102.00p 103.00p 100.75p 103.00p 65906
04/05/2017 101.25p 102.50p 100.50p 100.50p 107231
03/05/2017 100.75p 102.50p 100.50p 101.63p 114531
02/05/2017 102.25p 104.00p 100.50p 102.25p 130316
28/04/2017 102.38p 102.50p 101.50p 102.50p 49137
27/04/2017 102.00p 103.00p 101.50p 101.75p 102391
26/04/2017 104.00p 104.00p 102.00p 103.38p 84489
25/04/2017 102.97p 104.00p 101.50p 103.00p 103567
24/04/2017 101.50p 102.97p 101.50p 101.50p 31296
21/04/2017 102.00p 102.25p 101.50p 102.00p 66592
20/04/2017 102.75p 104.10p 102.00p 103.38p 37139
19/04/2017 105.75p 107.50p 103.00p 103.00p 270972
18/04/2017 107.50p 107.50p 106.00p 106.50p 53689
13/04/2017 106.48p 107.04p 106.48p 106.62p 23567
12/04/2017 105.50p 105.50p 104.80p 105.50p 19832
11/04/2017 107.00p 107.00p 104.25p 105.50p 48654
10/04/2017 105.00p 105.54p 104.00p 105.38p 184786
07/04/2017 105.00p 105.75p 105.00p 105.75p 10128
06/04/2017 105.50p 105.50p 105.00p 105.00p 29441
05/04/2017 105.50p 105.68p 105.00p 105.00p 21226
04/04/2017 106.00p 106.02p 105.00p 105.75p 115170
03/04/2017 105.50p 105.50p 105.02p 105.50p 36469
31/03/2017 105.50p 105.50p 105.00p 105.50p 27496
30/03/2017 105.25p 105.50p 105.00p 105.00p 187746
29/03/2017 105.25p 105.38p 105.00p 105.38p 62386
28/03/2017 105.50p 105.82p 105.00p 105.00p 71384
27/03/2017 105.00p 105.82p 105.00p 105.25p 74406
24/03/2017 105.00p 106.00p 105.00p 105.00p 108622
23/03/2017 105.00p 106.23p 105.00p 105.00p 48127
22/03/2017 105.50p 106.25p 105.00p 105.50p 45164
21/03/2017 106.00p 106.38p 105.25p 105.38p 95142
20/03/2017 105.50p 106.56p 105.25p 105.50p 62715
17/03/2017 105.00p 106.69p 105.00p 105.50p 2732323
16/03/2017 106.00p 106.50p 105.58p 106.50p 295376
15/03/2017 105.50p 105.62p 105.25p 105.50p 160782
14/03/2017 105.25p 106.00p 104.75p 105.50p 563042
13/03/2017 105.25p 105.75p 105.00p 105.38p 552294
10/03/2017 105.25p 105.74p 105.01p 105.38p 316608
09/03/2017 105.25p 105.93p 105.00p 105.62p 250554
08/03/2017 106.25p 106.26p 104.76p 105.25p 412873
07/03/2017 106.00p 106.50p 105.50p 106.00p 358158
06/03/2017 106.00p 107.25p 105.50p 106.12p 374013
03/03/2017 106.00p 106.00p 105.02p 106.00p 174022
02/03/2017 106.50p 106.50p 105.25p 105.62p 151479
01/03/2017 105.00p 105.50p 104.50p 105.50p 29009
28/02/2017 104.75p 105.62p 104.75p 105.62p 16197
27/02/2017 104.75p 106.25p 104.46p 105.50p 38783
24/02/2017 104.75p 105.50p 104.75p 105.50p 21769
23/02/2017 105.00p 105.50p 105.00p 105.50p 28020
22/02/2017 105.00p 105.50p 104.75p 104.75p 70500
21/02/2017 105.00p 105.75p 105.00p 105.75p 410
20/02/2017 105.25p 107.00p 105.00p 106.25p 57336
17/02/2017 105.25p 107.50p 105.00p 106.50p 41458
16/02/2017 105.25p 107.75p 105.25p 106.62p 27539
15/02/2017 105.50p 107.75p 105.25p 106.50p 65480
14/02/2017 105.50p 106.62p 105.25p 106.62p 66823
13/02/2017 106.58p 107.50p 105.50p 106.75p 266800
10/02/2017 105.75p 106.50p 105.75p 106.50p 14748
09/02/2017 107.00p 107.00p 105.75p 106.50p 46740
08/02/2017 105.50p 106.75p 105.50p 106.25p 43289
07/02/2017 106.00p 107.00p 105.75p 106.25p 153390
06/02/2017 107.05p 107.05p 105.75p 106.50p 15266
03/02/2017 106.50p 106.58p 106.00p 106.00p 57998
02/02/2017 105.50p 106.95p 105.50p 106.75p 14592
01/02/2017 105.50p 106.80p 105.50p 106.62p 12346
31/01/2017 106.76p 107.25p 106.50p 106.50p 4190
30/01/2017 106.00p 106.50p 105.50p 106.50p 336381
27/01/2017 106.76p 106.76p 105.75p 106.75p 38862
26/01/2017 105.50p 107.50p 105.50p 106.50p 8783
25/01/2017 105.51p 106.25p 105.50p 106.00p 75302
24/01/2017 105.50p 106.39p 105.50p 106.25p 9768
23/01/2017 106.40p 106.40p 105.50p 106.25p 25621
20/01/2017 106.50p 106.50p 105.67p 106.25p 36046
19/01/2017 106.47p 106.47p 105.67p 106.25p 407216
18/01/2017 105.79p 106.25p 105.79p 106.25p 559753
17/01/2017 106.49p 106.49p 105.60p 106.25p 38297
16/01/2017 105.79p 106.25p 105.79p 106.25p 6025
13/01/2017 105.50p 106.50p 105.50p 106.25p 51653
12/01/2017 106.33p 106.49p 105.38p 106.25p 82848
11/01/2017 106.50p 106.50p 105.75p 105.75p 12631
10/01/2017 105.50p 105.55p 105.14p 105.38p 183951
09/01/2017 105.11p 105.31p 104.50p 105.12p 65093
06/01/2017 103.72p 105.17p 103.72p 104.88p 94638
05/01/2017 104.75p 105.31p 104.00p 104.88p 120603
04/01/2017 103.52p 104.84p 103.52p 104.00p 61845
03/01/2017 104.00p 104.16p 103.00p 104.00p 249422
30/12/2016 103.14p 103.86p 103.14p 103.50p 22604
29/12/2016 103.00p 103.86p 103.00p 103.50p 20929
28/12/2016 103.50p 103.86p 103.00p 103.50p 52832
23/12/2016 103.09p 103.50p 103.09p 103.50p 25816
22/12/2016 103.00p 103.50p 103.00p 103.50p 11613
21/12/2016 103.00p 103.86p 103.00p 103.50p 23564
20/12/2016 103.00p 103.81p 102.67p 103.50p 76242
19/12/2016 103.75p 103.75p 102.61p 103.38p 13102
16/12/2016 103.00p 104.00p 102.41p 103.25p 76152
15/12/2016 103.00p 104.00p 102.25p 103.38p 34557
14/12/2016 103.25p 104.50p 102.00p 104.00p 341591
13/12/2016 102.75p 104.25p 102.25p 102.87p 701542
12/12/2016 100.00p 104.00p 100.00p 102.87p 3495447

*Close Price adjusted for both dividends and splits