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Legg Mason Partners Variable Income Trust - Western Asset Variable Global High Yield Bond Portfolio (QLMYIX)

Nasdaq - Nasdaq Delayed price. Currency in USD
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6.07+0.04 (+0.66%)
At close: 08:01PM EDT
Time period:
05 May 2023 - 05 May 2024
Show:
Historical prices
Frequency:
Daily
Currency in USDDownload
DateOpenHighLowClose*Adj. close**Volume
03 May 20246.076.076.076.076.07-
02 May 20246.036.036.036.036.03-
01 May 20246.016.016.016.016.01-
30 Apr 20246.016.016.016.016.01-
29 Apr 20246.036.036.036.036.03-
26 Apr 20246.016.016.016.016.01-
25 Apr 20245.995.995.995.995.99-
24 Apr 20246.016.016.016.016.01-
23 Apr 20246.026.026.026.026.02-
22 Apr 20246.006.006.006.006.00-
19 Apr 20245.985.985.985.985.98-
18 Apr 20245.985.985.985.985.98-
17 Apr 20245.985.985.985.985.98-
16 Apr 20245.965.965.965.965.96-
15 Apr 20246.006.006.006.006.00-
12 Apr 20246.026.026.026.026.02-
11 Apr 20246.036.036.036.036.03-
10 Apr 20246.056.056.056.056.05-
09 Apr 20246.086.086.086.086.08-
08 Apr 20246.076.076.076.076.07-
05 Apr 20246.076.076.076.076.07-
04 Apr 20246.076.076.076.076.07-
03 Apr 20246.066.066.066.066.06-
02 Apr 20246.066.066.066.066.06-
01 Apr 20246.086.086.086.086.08-
28 Mar 20246.096.096.096.096.09-
27 Mar 20246.096.096.096.096.09-
26 Mar 20246.086.086.086.086.08-
25 Mar 20246.096.096.096.096.09-
22 Mar 20246.096.096.096.096.09-
21 Mar 20246.086.086.086.086.08-
20 Mar 20246.076.076.076.076.07-
19 Mar 20246.086.086.086.086.08-
18 Mar 20246.076.076.076.076.07-
15 Mar 20246.076.076.076.076.07-
14 Mar 20246.076.076.076.076.07-
13 Mar 20246.096.096.096.096.09-
12 Mar 20246.086.086.086.086.08-
11 Mar 20246.096.096.096.096.09-
08 Mar 20246.096.096.096.096.09-
07 Mar 20246.086.086.086.086.08-
06 Mar 2024------
05 Mar 20246.066.066.066.066.06-
04 Mar 20246.056.056.056.056.05-
01 Mar 20246.046.046.046.046.04-
29 Feb 20246.036.036.036.036.03-
28 Feb 20246.046.046.046.046.04-
27 Feb 20246.036.036.036.036.03-
26 Feb 20246.046.046.046.046.04-
23 Feb 20246.026.026.026.026.02-
22 Feb 20246.016.016.016.016.01-
21 Feb 20245.995.995.995.995.99-
20 Feb 20246.036.036.036.036.03-
16 Feb 20246.036.036.036.036.03-
15 Feb 20246.036.036.036.036.03-
14 Feb 20246.016.016.016.016.01-
13 Feb 20246.016.016.016.016.01-
12 Feb 20246.046.046.046.046.04-
09 Feb 20246.046.046.046.046.04-
08 Feb 20246.036.036.036.036.03-
07 Feb 20245.995.995.995.995.99-
06 Feb 20245.995.995.995.995.99-
05 Feb 20245.975.975.975.975.97-
02 Feb 2024------
01 Feb 2024------
31 Jan 20245.995.995.995.995.99-
30 Jan 20246.006.006.006.006.00-
29 Jan 20245.995.995.995.995.99-
26 Jan 20245.985.985.985.985.98-
25 Jan 20245.975.975.975.975.97-
24 Jan 20245.965.965.965.965.96-
23 Jan 20245.965.965.965.965.96-
22 Jan 20245.965.965.965.965.96-
19 Jan 20245.955.955.955.955.95-
18 Jan 20245.945.945.945.945.94-
17 Jan 20245.945.945.945.945.94-
16 Jan 20245.975.975.975.975.97-
12 Jan 20246.006.006.006.006.00-
11 Jan 20245.985.985.985.985.98-
10 Jan 20245.975.975.975.975.97-
09 Jan 20245.965.965.965.965.96-
08 Jan 20245.955.955.955.955.95-
05 Jan 20245.945.945.945.945.94-
04 Jan 20245.955.955.955.955.95-
03 Jan 20245.965.965.965.965.96-
02 Jan 20246.006.006.006.006.00-
29 Dec 20236.026.026.026.026.02-
28 Dec 20236.026.026.026.026.02-
27 Dec 20236.026.026.026.026.02-
26 Dec 20236.006.006.006.006.00-
22 Dec 20236.006.006.006.006.00-
21 Dec 20235.995.995.995.995.99-
20 Dec 20235.995.995.995.995.99-
19 Dec 20235.975.975.975.975.97-
18 Dec 20235.965.965.965.965.96-
15 Dec 20235.965.965.965.965.96-
14 Dec 20235.965.965.965.965.96-
13 Dec 20235.885.885.885.885.88-
12 Dec 20235.835.835.835.835.83-
11 Dec 20235.825.825.825.825.82-
*Close price adjusted for splits.**Close price adjusted for splits and dividend and/or capital gain distributions.
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