CAPGEMINI
Codes et Classification
CodeCP1MarchéEuronext ParisVol.7020/06/19
Type d'exerciceAmericanDeviseP.O.31,21219/06/19
Sous-jacent
NomCAPGEMINIISINFR0000125338MarchéEuronext Paris
DeviseAchat102.5020/06/19 09:29Vente102.5520/06/19 09:29
HeureCETDernier102.5020/06/19 09:29Var. J/J-1
0.99
Volume45,023+Haut102.50+Bas101.65
Bid and Ask (€) 20/06/19
Achat4.11Taille10(09:09:45)
Vente4.49Taille15(09:09:45)
Derniers (€)26/04/19
4.3816:30:16
Compens. 5 Jours (€)
4.7019/06/19
4.3818/06/19
7.7517/06/19
8.9814/06/19
6.3013/06/19
Séance du26/04/19 16:30
Dernier (€)4.38
Qte Dernier2
Var. J/J-1 (%)92.11
Qte Jour2
Compens. (19/06/19)4.70
P.O. (19/06/19)55
Jour
Ouv. (€)4.38
+Haut (€)4.38
+Bas (€)4.38
Semaine
+Haut (€)4.38
+Bas (€)2.96

Note: Settlement price is for the trading day 20/06/19

Vol - (Volume) is the number of contracts traded in the most recent transaction.

Day's Volume - Number of trades that have taken place so far in the trading day. This figure updates as the day progresses and more trades take place.

+/- Price of last trade compared to yesterday's settlement price.

Comp - The previous day's settlement price.

P.O. - (Open Interest) is the outstanding long and short positions of the previous trading day updated in the morning each day.