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New China Life Insurance Company Ltd. (NWWCF)

OTC Markets OTCPK - OTC Markets OTCPK Delayed price. Currency in USD
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2.00300.0000 (0.00%)
At close: 04:00PM EDT
Time period:
11 Oct 2023 - 11 Oct 2024
Show:
Historical prices
Frequency:
Daily
Currency in USDDownload
DateOpenHighLowClose*Adj. close**Volume
10 Oct 20242.00302.00302.00302.00302.0030-
09 Oct 20242.00302.00302.00302.00302.0030-
08 Oct 20242.00302.00302.00302.00302.0030-
07 Oct 20242.00302.00302.00302.00302.0030-
04 Oct 20242.00302.00302.00302.00302.0030-
03 Oct 20242.00302.00302.00302.00302.0030-
02 Oct 20242.00302.00302.00302.00302.0030-
01 Oct 20242.00302.00302.00302.00302.0030-
30 Sept 20242.00302.00302.00302.00302.0030-
27 Sept 20242.00302.00302.00302.00302.0030-
26 Sept 20242.00302.00302.00302.00302.0030-
25 Sept 20242.00302.00302.00302.00302.0030-
24 Sept 20242.00302.00302.00302.00302.0030-
23 Sept 20242.00302.00302.00302.00302.0030-
20 Sept 20242.00302.00302.00302.00302.0030-
19 Sept 20242.00302.00302.00302.00302.0030-
18 Sept 20242.00302.00302.00302.00302.0030-
17 Sept 20242.00302.00302.00302.00302.0030-
16 Sept 20242.00302.00302.00302.00302.0030-
13 Sept 20242.00302.00302.00302.00302.0030-
12 Sept 20242.00302.00302.00302.00302.0030-
11 Sept 20242.00302.00302.00302.00302.0030-
10 Sept 20242.00302.00302.00302.00302.0030-
09 Sept 20242.00302.00302.00302.00302.0030-
06 Sept 20242.00302.00302.00302.00302.0030-
05 Sept 20242.00302.00302.00302.00302.0030-
04 Sept 20242.00302.00302.00302.00302.0030-
03 Sept 20242.00302.00302.00302.00302.0030-
30 Aug 20242.00302.00302.00302.00302.0030-
29 Aug 20242.00302.00302.00302.00302.0030-
28 Aug 20242.00302.00302.00302.00302.0030-
27 Aug 20242.00302.00302.00302.00302.0030-
26 Aug 20242.00302.00302.00302.00302.0030-
23 Aug 20242.00302.00302.00302.00302.0030-
22 Aug 20242.00302.00302.00302.00302.0030-
21 Aug 20242.00302.00302.00302.00302.0030-
20 Aug 20242.00302.00302.00302.00302.0030-
19 Aug 20242.00302.00302.00302.00302.0030-
16 Aug 20242.00302.00302.00302.00302.0030-
15 Aug 20242.00302.00302.00302.00302.0030-
14 Aug 20242.00302.00302.00302.00302.0030-
13 Aug 20242.00302.00302.00302.00302.0030-
12 Aug 20242.00302.00302.00302.00302.0030-
09 Aug 20242.00302.00302.00302.00302.0030-
08 Aug 20242.00302.00302.00302.00302.0030-
07 Aug 20242.00302.00302.00302.00302.0030-
06 Aug 20242.00302.00302.00302.00302.0030-
05 Aug 20242.00302.00302.00302.00302.0030-
02 Aug 20242.00302.00302.00302.00302.0030-
01 Aug 20242.00302.00302.00302.00302.0030-
31 July 20242.00302.00302.00302.00302.0030-
30 July 20242.00302.00302.00302.00302.0030-
29 July 20242.00302.00302.00302.00302.0030-
26 July 20242.00302.00302.00302.00302.0030-
25 July 20242.00302.00302.00302.00302.0030-
24 July 20242.00302.00302.00302.00302.0030-
23 July 20242.00302.00302.00302.00302.0030-
22 July 20242.00302.00302.00302.00302.0030-
19 July 20242.00302.00302.00302.00302.0030-
18 July 20242.00302.00302.00302.00302.0030-
17 July 20242.00302.00302.00302.00302.0030-
16 July 20242.00302.00302.00302.00302.0030-
15 July 20242.00302.00302.00302.00302.0030-
12 July 20242.00302.00302.00302.00302.0030-
12 July 20240.931584 Dividend
11 July 20242.00302.00302.00302.00301.0714-
10 July 20242.00302.00302.00302.00301.0714-
09 July 20242.00302.00302.00302.00301.0714-
08 July 20242.00302.00302.00302.00301.0714-
05 July 20242.00302.00302.00302.00301.0714-
03 July 20242.00302.00302.00302.00301.0714-
02 July 20242.00302.00302.00302.00301.0714-
01 July 20242.00302.00302.00302.00301.0714-
28 June 20242.00302.00302.00302.00301.0714-
27 June 20242.00302.00302.00302.00301.0714-
26 June 20242.00302.00302.00302.00301.0714-
25 June 20242.00302.00302.00302.00301.0714-
24 June 20242.00302.00302.00302.00301.0714-
21 June 20242.00302.00302.00302.00301.0714-
20 June 20242.00302.00302.00302.00301.0714-
18 June 20242.00302.00302.00302.00301.0714-
17 June 20242.00302.00302.00302.00301.0714-
14 June 20242.00302.00302.00302.00301.0714-
13 June 20242.00302.00302.00302.00301.0714-
12 June 20242.00302.00302.00302.00301.0714-
11 June 20242.00302.00302.00302.00301.0714-
10 June 20242.00302.00302.00302.00301.0714-
07 June 20242.00302.00302.00302.00301.0714-
06 June 20242.00302.00302.00302.00301.0714-
05 June 20242.00302.00302.00302.00301.0714-
04 June 20242.00302.00302.00302.00301.0714-
03 June 20242.00302.00302.00302.00301.0714-
31 May 20242.00302.00302.00302.00301.0714-
30 May 20242.00302.00302.00302.00301.0714-
29 May 20242.00302.00302.00302.00301.0714-
28 May 20242.00302.00302.00302.00301.0714-
24 May 20242.00302.00302.00302.00301.0714-
23 May 20242.00302.00302.00302.00301.0714-
22 May 20242.00302.00302.00302.00301.0714-
21 May 20242.00302.00302.00302.00301.0714-
*Close price adjusted for splits.**Close price adjusted for splits and dividend and/or capital gain distributions.
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