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Janus Henderson Flexible Bond Fund (JDFNX)

Nasdaq - Nasdaq Delayed price. Currency in USD
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9.26+0.05 (+0.54%)
At close: 08:00PM EDT
Time period:
08 July 2023 - 08 July 2024
Show:
Historical prices
Frequency:
Daily
Currency in USDDownload
DateOpenHighLowClose*Adj. close**Volume
05 July 20249.269.269.269.269.26-
03 July 20249.219.219.219.219.21-
02 July 20249.169.169.169.169.16-
01 July 20249.149.149.149.149.14-
28 June 20249.209.209.209.209.20-
27 June 20249.249.249.249.249.24-
26 June 20249.229.229.229.229.22-
25 June 20249.279.279.279.279.27-
24 June 20249.279.279.279.279.27-
21 June 20249.279.279.279.279.27-
20 June 20249.279.279.279.279.27-
18 June 20249.299.299.299.299.29-
17 June 20249.259.259.259.259.25-
14 June 20249.299.299.299.299.29-
13 June 20249.289.289.289.289.28-
12 June 20249.249.249.249.249.24-
11 June 20249.199.199.199.199.19-
10 June 20249.169.169.169.169.16-
07 June 20249.179.179.179.179.17-
06 June 20249.259.259.259.259.25-
05 June 20249.259.259.259.259.25-
04 June 20249.239.239.239.239.23-
03 June 20249.199.199.199.199.19-
31 May 20249.109.109.109.109.10-
31 May 20240.04 Dividend
30 May 20249.109.109.109.109.06-
29 May 20249.069.069.069.069.02-
28 May 20249.109.109.109.109.06-
24 May 20249.149.149.149.149.10-
23 May 20249.149.149.149.149.10-
22 May 20249.179.179.179.179.13-
21 May 20249.199.199.199.199.15-
20 May 20249.179.179.179.179.13-
17 May 20249.189.189.189.189.14-
16 May 20249.209.209.209.209.16-
15 May 20249.239.239.239.239.19-
14 May 20249.169.169.169.169.12-
13 May 20249.149.149.149.149.10-
10 May 20249.139.139.139.139.09-
09 May 20249.169.169.169.169.12-
08 May 20249.139.139.139.139.09-
07 May 20249.169.169.169.169.12-
06 May 20249.149.149.149.149.10-
03 May 20249.139.139.139.139.09-
02 May 20249.089.089.089.089.04-
01 May 20249.049.049.049.049.00-
30 Apr 20249.009.009.009.008.96-
30 Apr 20240.038 Dividend
29 Apr 20249.049.049.049.048.96-
26 Apr 20249.019.019.019.018.93-
25 Apr 20248.998.998.998.998.91-
24 Apr 20249.029.029.029.028.94-
23 Apr 20249.059.059.059.058.97-
22 Apr 20249.039.039.039.038.95-
19 Apr 20249.039.039.039.038.95-
18 Apr 20249.019.019.019.018.93-
17 Apr 20249.059.059.059.058.97-
16 Apr 20249.009.009.009.008.92-
15 Apr 20249.039.039.039.038.95-
12 Apr 20249.109.109.109.109.02-
11 Apr 20249.079.079.079.078.99-
10 Apr 20249.089.089.089.089.00-
09 Apr 20249.219.219.219.219.13-
08 Apr 20249.179.179.179.179.09-
05 Apr 20249.199.199.199.199.11-
04 Apr 20249.249.249.249.249.16-
03 Apr 20249.229.229.229.229.14-
02 Apr 20249.219.219.219.219.13-
01 Apr 20249.229.229.229.229.14-
28 Mar 20249.299.299.299.299.21-
28 Mar 20240.038 Dividend
27 Mar 20249.309.309.309.309.18-
26 Mar 20249.289.289.289.289.16-
25 Mar 20249.279.279.279.279.15-
22 Mar 20249.299.299.299.299.17-
21 Mar 20249.269.269.269.269.14-
20 Mar 20249.269.269.269.269.14-
19 Mar 20249.239.239.239.239.11-
18 Mar 20249.219.219.219.219.09-
15 Mar 20249.229.229.229.229.10-
14 Mar 20249.239.239.239.239.11-
13 Mar 20249.299.299.299.299.17-
12 Mar 20249.319.319.319.319.19-
11 Mar 20249.339.339.339.339.21-
08 Mar 20249.359.359.359.359.23-
07 Mar 20249.339.339.339.339.21-
06 Mar 20249.329.329.329.329.20-
05 Mar 20249.299.299.299.299.17-
04 Mar 20249.259.259.259.259.13-
01 Mar 20249.279.279.279.279.15-
29 Feb 20249.239.239.239.239.11-
29 Feb 20240.037 Dividend
28 Feb 20249.229.229.229.229.07-
27 Feb 20249.209.209.209.209.05-
26 Feb 20249.229.229.229.229.07-
23 Feb 20249.239.239.239.239.08-
22 Feb 20249.209.209.209.209.05-
21 Feb 20249.209.209.209.209.05-
20 Feb 20249.239.239.239.239.08-
16 Feb 20249.229.229.229.229.07-
*Close price adjusted for splits.**Close price adjusted for splits and dividend and/or capital gain distributions.
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