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Regency Centers Corporation (0KUT.L)

LSE - LSE Delayed price. Currency in USD
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62.54+0.37 (+0.60%)
At close: 06:43PM BST
Time period:
03 July 2023 - 03 July 2024
Show:
Historical prices
Frequency:
Daily
Currency in USDDownload
DateOpenHighLowClose*Adj. close**Volume
03 July 202461.8462.5461.8462.5462.5445
02 July 202462.2262.2261.8361.8461.8433
01 July 202461.8362.1761.7062.1762.173
28 June 202462.4562.4561.7461.7461.74605
27 June 202461.6361.8361.6361.8361.8345
26 June 202460.9062.4860.5661.1761.1717
25 June 202461.2261.2261.2261.2261.2250
24 June 202462.0462.7462.0462.7462.7417
21 June 202461.8662.1961.6961.7861.78559
20 June 202460.7961.6060.7661.6061.6012
19 June 2024------
18 June 202461.5161.5161.1061.1061.101,137
17 June 202461.1261.2361.0961.2361.23247
14 June 202461.7361.7461.7361.7461.745
13 June 202460.8161.5960.7161.5961.59718
12 June 202461.1461.9961.1361.1561.15293
12 June 20240.67 Dividend
11 June 202460.0361.0260.0360.9460.2751
10 June 202460.1961.1760.0761.0860.41446
07 June 202460.5961.1160.5961.0860.41198
06 June 202460.6061.7360.6061.7361.0536
05 June 202461.2961.4761.1561.1560.48216
04 June 202462.0462.0861.5861.8661.18243
03 June 202461.6262.0461.4761.8961.21744
31 May 202460.4061.0460.4061.0460.3732
30 May 202459.4459.4459.4459.4458.793
29 May 202458.4658.5058.2958.5057.861
28 May 202459.5160.0159.5160.0159.355
24 May 202459.4859.4859.4859.4858.832
23 May 202459.5559.8959.5559.8759.2124
22 May 202460.2660.7160.1760.6359.967
21 May 202460.0360.0459.8260.0159.352
20 May 202460.7360.7960.0860.0859.4226
17 May 202460.3061.1860.3061.1860.506
16 May 202460.6160.6160.1360.3559.69346
15 May 202460.4960.4960.4960.4959.8267
14 May 202460.2060.2059.4459.4458.7814
13 May 202459.7859.8559.6859.7659.11663
10 May 202459.1459.3759.1459.3758.722
09 May 202458.9258.9258.7058.8558.2020
08 May 2024------
07 May 202459.4059.8959.4059.8959.2310
03 May 202458.9860.5358.5658.7958.15563
02 May 202459.8659.8659.8659.8659.2035
01 May 202458.8859.3858.8859.3858.7337
30 Apr 2024------
29 Apr 202458.9858.9858.2858.4757.8323,593
26 Apr 2024------
25 Apr 202459.3059.3059.1759.2958.6433
24 Apr 202460.1060.1059.8159.8159.1622
23 Apr 202459.3360.0959.3360.0959.437
22 Apr 202458.8358.9058.4258.9058.259
19 Apr 202458.2058.2658.1958.2657.62162
18 Apr 202457.9157.9157.2157.7357.10154
17 Apr 202457.1257.2456.5457.0656.43512
16 Apr 202457.3757.9356.5556.5555.9346
15 Apr 202458.6758.7157.9057.9057.2622
12 Apr 202458.0858.0858.0358.0357.3921
11 Apr 202458.0058.0857.7058.0857.443
10 Apr 202458.3559.0158.3558.6958.0443
09 Apr 202459.2359.7759.1959.7759.1123,529
08 Apr 202459.0359.5358.8559.4658.81320
05 Apr 202458.7958.8858.7258.8858.2352
04 Apr 202460.2060.2060.1060.1059.442,322
03 Apr 2024------
02 Apr 202459.4459.4459.4359.4358.7823
28 Mar 202460.5060.6960.2260.3859.72183
27 Mar 202459.4360.0059.4360.0059.3422
26 Mar 202459.3459.3459.0659.0658.413
25 Mar 202459.5159.6459.1359.1358.4721
22 Mar 202460.7760.7859.7359.7359.0797
21 Mar 202460.7360.7360.5460.5459.87101
20 Mar 202458.8459.4458.8459.4258.774
19 Mar 202459.5759.7859.3759.7859.12230
18 Mar 202459.3059.4459.1359.4458.79447
15 Mar 202459.0659.1158.8658.8658.2178
14 Mar 202459.8860.2059.1259.1258.47481
13 Mar 202460.9861.1560.9861.1560.482
12 Mar 202461.0061.0260.6060.6059.9320
12 Mar 20240.67 Dividend
11 Mar 202461.9961.9961.5061.6460.3033
08 Mar 202461.9762.1361.8561.9460.59545
07 Mar 202461.3561.3561.2961.3259.995
06 Mar 202462.1762.1761.1661.1659.8355
05 Mar 202462.6662.9362.5062.5861.22632
04 Mar 202461.6962.3161.6962.3160.9681
01 Mar 202461.6162.2161.4761.4860.143
29 Feb 202461.4261.4261.2461.3460.01498
28 Feb 202460.2260.7560.0960.7559.4320
27 Feb 202460.3960.9860.3960.9859.65380
26 Feb 202460.4960.6560.3760.3759.06870
23 Feb 202460.7460.7460.7460.7459.4290
22 Feb 202461.0361.0761.0361.0759.7480
21 Feb 202460.7461.2360.7461.1759.84179
20 Feb 202460.9661.1360.9661.0159.684
19 Feb 2024------
16 Feb 202461.2461.2460.8160.8159.499
15 Feb 202461.0761.2261.0061.2259.894
14 Feb 202460.4760.7060.0360.0358.72102
13 Feb 202459.7260.1159.1160.1158.80102
*Close price adjusted for splits.**Close price adjusted for splits and dividend and/or capital gain distributions.
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