Legenda - Stocks

Last Price: Price of last contract concluded.

Last Volume: quantity traded in last contract concluded.

Chng% : Percentage change calculated as the difference between the Last Price and the previous day's Reference Price, except for the Professional Segment of the MIV market for which the percentage change is calculated as the difference between the Last Price and the previous day’s Official Price.

Absolute Variation: Change calculated as the difference between the Last Price and the previous day's Reference Price.

Time: Time when last contract was concluded.

Opening Price: Security's opening-auction Price.

FTSE/MIB Opening value: Value of the Index calculated on the prices of the first  trade concluded  by the constituents.

Reference Price: Price used to determine the percentage change, except for the Professional Segment of the MIV market.

Indicative Price: limited to the Professional Segment of the MIV market, the indicative price equates to the unit value of the last NAV published by the issuer.

Official Price (V.W.A.P.): the average Price, weighted to account for the relative quantities, of all contracts concluded during the course of the day.

Closing Price:
Price at which contracts are concluded during the closing auction.

Control Price:
in the opening auction it corresponds to the previous day's reference Price, during continuous trading it is the opening Price, at the end of the session it corresponds to the reference for the day in question.

Day Low/High:
Minimum and maximum Price recorded by the security during the trading day.

Year Low/High:
Minimum and maximum Price recorded by the security since the first trading day of the year.

Accum. Volume:
Overall quantity of securities traded during the day.

Turnover:
Security's overall turnover, computed as the product of the Prices and relative quantities.

No. of Trades:
Number of contracts concluded during the stock exchange day.

Market Status:
The market phase including the security during the course of the day.

Market Capitalisation: number of listed shares multiplied by their last price.

NAV (Net Asset Value): limited to the professional segment of the MIV market, unit value of the last NAV published by the issuer, rounded to the trading tick.


Trade types



Data update

Last and Chng%: data in real time.

Intraday and Book: 15 minutes delayed data.

Performances: historical changes (monthly, semiannual, and annual) are calculated as a percentage change between the last price and the reference price of the relevant historical period


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