logo
light
search

MEDAX Fund Historical Price Quotes NMFQS:MEDAX

Emerging Markets Bond | MFS
$12.82
↑ $0.02 (0.16%)
Last Updated: Feb 06, 2026

MEDAX Historical Data

You're viewing historical data for MFS Emerging Markets Debt Fund Class A (MEDAX) . Select your preferred timeframe and period using the controls above.

Date Open High Low Close Volume
2025-12-26 $12.74 $12.74 $12.74 $12.74 0
2025-12-19 $12.73 $12.73 $12.73 $12.73 0
2025-12-05 $12.70 $12.70 $12.70 $12.70 0
2025-12-02 $12.69 $12.69 $12.69 $12.69 0
2025-12-01 $12.68 $12.68 $12.68 $12.68 0
2025-11-28 $12.70 $12.70 $12.70 $12.70 0
2025-11-26 $12.69 $12.69 $12.69 $12.69 0
2025-11-25 $12.67 $12.67 $12.67 $12.67 0
2025-11-24 $12.66 $12.66 $12.66 $12.66 0
2025-11-21 $12.64 $12.64 $12.64 $12.64 0
2025-11-19 $12.64 $12.64 $12.64 $12.64 0
2025-11-14 $12.63 $12.63 $12.63 $12.63 0
2025-11-07 $12.62 $12.62 $12.62 $12.62 0
2025-10-31 $12.67 $12.67 $12.67 $12.67 0
2025-10-30 $12.66 $12.66 $12.66 $12.66 0
2025-10-29 $12.68 $12.68 $12.68 $12.68 0
2025-10-28 $12.70 $12.70 $12.70 $12.70 0
2025-10-27 $12.69 $12.69 $12.69 $12.69 0
2025-10-24 $12.61 $12.61 $12.61 $12.61 0
2025-10-23 $12.58 $12.58 $12.58 $12.58 0
2025-10-22 $12.59 $12.59 $12.59 $12.59 0
2025-10-21 $12.60 $12.60 $12.60 $12.60 0
2025-10-20 $12.57 $12.57 $12.57 $12.57 0
2025-10-17 $12.54 $12.54 $12.54 $12.54 0
2025-10-16 $12.56 $12.56 $12.56 $12.56 0
2025-10-15 $12.53 $12.53 $12.53 $12.53 0