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GuideStone Funds Medium-Duration Bond Fund (GMDYX)

Nasdaq - Nasdaq Delayed price. Currency in USD
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12.57+0.06 (+0.48%)
As of 08:06AM EDT. Market open.
Time period:
05 July 2023 - 05 July 2024
Show:
Historical prices
Frequency:
Daily
Currency in USDDownload
DateOpenHighLowClose*Adj. close**Volume
05 July 2024------
03 July 202412.5112.5112.5112.5112.51-
02 July 202412.5112.5112.5112.5112.51-
01 July 202412.4712.4712.4712.4712.47-
28 June 202412.5412.5412.5412.5412.54-
27 June 202412.6012.6012.6012.6012.60-
26 June 202412.5812.5812.5812.5812.58-
25 June 202412.6312.6312.6312.6312.63-
24 June 202412.6312.6312.6312.6312.63-
21 June 202412.6312.6312.6312.6312.63-
20 June 202412.6812.6812.6812.6812.68-
18 June 202412.7012.7012.7012.7012.70-
17 June 202412.6512.6512.6512.6512.65-
14 June 202412.6812.6812.6812.6812.68-
13 June 202412.6812.6812.6812.6812.68-
12 June 202412.6312.6312.6312.6312.63-
11 June 202412.5712.5712.5712.5712.57-
10 June 202412.5212.5212.5212.5212.52-
07 June 202412.5412.5412.5412.5412.54-
06 June 202412.6412.6412.6412.6412.64-
05 June 202412.6412.6412.6412.6412.64-
04 June 202412.6012.6012.6012.6012.60-
03 June 202412.5612.5612.5612.5612.56-
31 May 202412.4512.4512.4512.4512.45-
30 May 202412.4512.4512.4512.4512.45-
29 May 202412.3912.3912.3912.3912.39-
28 May 202412.4412.4412.4412.4412.44-
24 May 202412.4912.4912.4912.4912.49-
23 May 202412.4812.4812.4812.4812.48-
22 May 202412.5212.5212.5212.5212.52-
21 May 202412.5412.5412.5412.5412.54-
20 May 202412.5112.5112.5112.5112.51-
17 May 202412.5212.5212.5212.5212.52-
17 May 20240.046 Dividend
16 May 202412.6012.6012.6012.6012.55-
15 May 202412.6312.6312.6312.6312.58-
14 May 202412.5412.5412.5412.5412.49-
13 May 202412.5112.5112.5112.5112.46-
10 May 202412.4912.4912.4912.4912.44-
09 May 202412.5212.5212.5212.5212.47-
08 May 202412.4912.4912.4912.4912.44-
07 May 202412.5212.5212.5212.5212.47-
06 May 202412.4812.4812.4812.4812.43-
03 May 202412.4712.4712.4712.4712.42-
02 May 202412.4012.4012.4012.4012.35-
01 May 202412.3512.3512.3512.3512.30-
30 Apr 202412.3012.3012.3012.3012.26-
29 Apr 202412.3612.3612.3612.3612.31-
26 Apr 202412.3212.3212.3212.3212.28-
25 Apr 202412.2812.2812.2812.2812.24-
24 Apr 202412.3312.3312.3312.3312.28-
23 Apr 202412.3612.3612.3612.3612.31-
22 Apr 202412.3312.3312.3312.3312.28-
19 Apr 202412.3212.3212.3212.3212.28-
19 Apr 20240.053 Dividend
18 Apr 202412.3612.3612.3612.3612.26-
17 Apr 202412.4012.4012.4012.4012.30-
16 Apr 202412.3312.3312.3312.3312.23-
15 Apr 202412.3812.3812.3812.3812.28-
12 Apr 202412.4212.4212.4212.4212.32-
11 Apr 202412.4212.4212.4212.4212.32-
10 Apr 202412.4312.4312.4312.4312.33-
09 Apr 202412.5912.5912.5912.5912.49-
08 Apr 202412.5412.5412.5412.5412.44-
05 Apr 202412.6212.6212.6212.6212.52-
04 Apr 202412.6212.6212.6212.6212.52-
03 Apr 202412.5912.5912.5912.5912.49-
02 Apr 202412.5812.5812.5812.5812.48-
01 Apr 202412.5912.5912.5912.5912.49-
28 Mar 202412.6812.6812.6812.6812.58-
27 Mar 202412.6912.6912.6912.6912.59-
26 Mar 202412.6612.6612.6612.6612.56-
25 Mar 202412.6512.6512.6512.6512.55-
22 Mar 202412.6212.6212.6212.6212.52-
21 Mar 202412.6212.6212.6212.6212.52-
20 Mar 202412.6112.6112.6112.6112.51-
19 Mar 202412.5812.5812.5812.5812.48-
18 Mar 202412.5512.5512.5512.5512.45-
15 Mar 202412.5612.5612.5612.5612.46-
15 Mar 20240.046 Dividend
14 Mar 202412.6212.6212.6212.6212.47-
13 Mar 202412.7012.7012.7012.7012.55-
12 Mar 202412.7112.7112.7112.7112.56-
11 Mar 202412.7512.7512.7512.7512.60-
08 Mar 202412.7612.7612.7612.7612.61-
07 Mar 202412.7412.7412.7412.7412.59-
06 Mar 202412.7212.7212.7212.7212.57-
05 Mar 202412.6912.6912.6912.6912.54-
04 Mar 202412.6312.6312.6312.6312.48-
01 Mar 202412.6512.6512.6512.6512.50-
29 Feb 202412.6012.6012.6012.6012.45-
28 Feb 202412.5812.5812.5812.5812.43-
27 Feb 202412.5512.5512.5512.5512.41-
26 Feb 202412.5712.5712.5712.5712.42-
23 Feb 202412.5912.5912.5912.5912.44-
22 Feb 202412.5412.5412.5412.5412.40-
21 Feb 202412.5312.5312.5312.5312.39-
20 Feb 202412.5712.5712.5712.5712.42-
16 Feb 202412.5512.5512.5512.5512.41-
16 Feb 20240.069 Dividend
*Close price adjusted for splits.**Close price adjusted for splits and dividend and/or capital gain distributions.
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