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Legg Mason Partners Investment Trust - Franklin Global Dividend Fund (LGDCX)

Nasdaq - Nasdaq Delayed Price. Currency in USD
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14.49+0.00 (+0.00%)
At close: 08:00PM EDT
Time Period:
Jun 20, 2023 - Jun 20, 2024
Show:
Historical Prices
Frequency:
Daily
Currency in USDDownload
DateOpenHighLowClose*Adj Close**Volume
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Apr 12, 202414.4914.4914.4914.4914.49-
Apr 11, 202414.4914.4914.4914.4914.49-
Apr 10, 202414.4914.4914.4914.4914.49-
Apr 09, 202414.4914.4914.4914.4914.49-
Apr 08, 202414.4914.4914.4914.4914.49-
Apr 05, 202414.4914.4914.4914.4914.49-
Apr 04, 202414.4814.4814.4814.4814.48-
Apr 03, 202414.4814.4814.4814.4814.48-
Apr 02, 202414.4814.4814.4814.4814.48-
Apr 01, 202414.4814.4814.4814.4814.48-
Mar 28, 202414.4814.4814.4814.4814.48-
Mar 27, 202414.4814.4814.4814.4814.48-
Mar 26, 202414.4814.4814.4814.4814.48-
Mar 25, 202414.4914.4914.4914.4914.49-
Mar 22, 202414.4814.4814.4814.4814.48-
Mar 21, 202414.4714.4714.4714.4714.47-
Mar 20, 202414.4714.4714.4714.4714.47-
Mar 19, 202414.4714.4714.4714.4714.47-
Mar 18, 202414.4814.4814.4814.4814.48-
Mar 15, 202414.4814.4814.4814.4814.48-
Mar 14, 202414.5014.5014.5014.5014.50-
Mar 13, 202414.5414.5414.5414.5414.54-
Mar 12, 202414.5514.5514.5514.5514.55-
Mar 11, 202414.4714.4714.4714.4714.47-
Mar 08, 202414.4614.4614.4614.4614.46-
Mar 07, 202414.4914.4914.4914.4914.49-
Mar 06, 202414.3914.3914.3914.3914.39-
Mar 05, 202414.2914.2914.2914.2914.29-
Mar 04, 202414.3414.3414.3414.3414.34-
Mar 01, 202414.3414.3414.3414.3414.34-
Feb 29, 202414.2614.2614.2614.2614.26-
Feb 28, 202414.2214.2214.2214.2214.22-
Feb 27, 202414.2314.2314.2314.2314.23-
Feb 26, 202414.2214.2214.2214.2214.22-
Feb 23, 202414.2914.2914.2914.2914.29-
Feb 22, 202414.2614.2614.2614.2614.26-
Feb 21, 202414.1414.1414.1414.1414.14-
Feb 20, 202414.1014.1014.1014.1014.10-
Feb 16, 202414.0814.0814.0814.0814.08-
Feb 15, 202414.0814.0814.0814.0814.08-
Feb 14, 202414.0014.0014.0014.0014.00-
Feb 13, 202413.9413.9413.9413.9413.94-
Feb 12, 202414.1014.1014.1014.1014.10-
Feb 09, 202414.0614.0614.0614.0614.06-
Feb 08, 202414.0714.0714.0714.0714.07-
Feb 07, 202414.0914.0914.0914.0914.09-
Feb 06, 202414.0714.0714.0714.0714.07-
Feb 05, 202414.0314.0314.0314.0314.03-
Feb 02, 202414.1114.1114.1114.1114.11-
Feb 01, 202414.1114.1114.1114.1114.11-
Jan 31, 202414.0014.0014.0014.0014.00-
Jan 30, 202414.0714.0714.0714.0714.07-
Jan 29, 202414.0614.0614.0614.0614.06-
Jan 26, 202414.0214.0214.0214.0214.02-
*Close price adjusted for splits.**Adjusted close price adjusted for splits and dividend and/or capital gain distributions.
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