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Weboldalunk a Bamosz (www.bamosz.hu) által szolgáltatott adatokat tartalmazza. Az adatok helyességéről és aktualitásáról érdeklődjön az alapkezelőnél. A leírtak nem minősülnek ajánlattételnek.

Kezdő időpont: 2023-12-29

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Amundi Nemzetközi Vegyes Alapok Alapja D Sorozat
Évesített hozam: 18,42%

dátum azonosító árfolyam* eszközérték
2024-12-20HU00007019415,9562691.099.220.000
2024-12-19HU00007019415,9423051.096.650.000
2024-12-18HU00007019415,9196441.094.240.000
2024-12-17HU00007019415,9603041.110.860.000
2024-12-16HU00007019415,9758501.113.760.000
2024-12-13HU00007019415,9877521.115.970.000
2024-12-12HU00007019415,9966021.117.620.000
2024-12-11HU00007019416,0208951.122.150.000
2024-12-10HU00007019415,9933701.117.020.000
2024-12-09HU00007019415,9965811.117.620.000

2024-12-06HU00007019416,0087601.119.890.000
2024-12-05HU00007019416,0018891.118.610.000
2024-12-04HU00007019416,0116611.120.430.000
2024-12-03HU00007019415,9876551.115.960.000
2024-12-02HU00007019415,9853581.115.530.000
2024-11-29HU00007019415,9482621.108.610.000
2024-11-28HU00007019415,9468091.108.860.000
2024-11-27HU00007019415,9322141.106.140.000
2024-11-26HU00007019415,9419491.107.960.000
2024-11-25HU00007019415,9396041.107.520.000
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2024-11-14HU00007019415,8790971.096.240.000
2024-11-13HU00007019415,8658271.093.760.000
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2024-10-09HU00007019415,6740101.063.750.000
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2024-09-25HU00007019415,5770221.044.590.000
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2024-08-30HU00007019415,5391481.064.440.000
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2024-07-16HU00007019415,5238861.064.980.000
2024-07-15HU00007019415,5199461.064.220.000
2024-07-12HU00007019415,5325291.066.650.000
2024-07-11HU00007019415,5219031.064.600.000
2024-07-10HU00007019415,5136611.063.010.000
2024-07-09HU00007019415,5124121.051.730.000
2024-07-08HU00007019415,4890811.048.630.000
2024-07-05HU00007019415,4825371.047.380.000
2024-07-04HU00007019415,4842241.047.700.000
2024-07-03HU00007019415,4927241.049.320.000
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2024-07-01HU00007019415,4575151.042.600.000
2024-06-28HU00007019415,4886901.048.550.000
2024-06-27HU00007019415,5034231.052.910.000
2024-06-26HU00007019415,4980171.051.880.000
2024-06-25HU00007019415,4789821.048.230.000
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2024-06-20HU00007019415,4814811.048.710.000
2024-06-19HU00007019415,4621331.045.010.000
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2024-06-14HU00007019415,4580221.044.560.000
2024-06-13HU00007019415,4255661.038.350.000
2024-06-12HU00007019415,4471421.042.480.000
2024-06-11HU00007019415,4171291.036.740.000
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2024-06-07HU00007019415,3623951.028.310.000
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2024-06-05HU00007019415,3711591.029.990.000
2024-06-04HU00007019415,3393591.023.890.000
2024-06-03HU00007019415,3488541.025.720.000
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2024-05-29HU00007019415,2946671.010.940.000
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2024-05-27HU00007019415,3222541.016.210.000
2024-05-24HU00007019415,3311581.017.910.000
2024-05-23HU00007019415,3434451.020.260.000
2024-05-22HU00007019415,3501831.021.540.000
2024-05-21HU00007019415,3551451.022.490.000
2024-05-17HU00007019415,3690701.025.150.000
2024-05-16HU00007019415,3534781.022.170.000
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2024-05-14HU00007019415,3407581.019.860.000
2024-05-13HU00007019415,3325631.018.290.000
2024-05-10HU00007019415,3340291.018.570.000
2024-05-09HU00007019415,3474601.021.140.000
2024-05-08HU00007019415,3464601.020.950.000
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2024-05-03HU00007019415,3018631.012.430.000
2024-05-02HU00007019415,2776661.007.810.000
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2024-04-25HU00007019415,2728701.010.240.000
2024-04-24HU00007019415,3083911.017.040.000
2024-04-23HU00007019415,3178111.018.850.000
2024-04-22HU00007019415,2886301.013.260.000
2024-04-19HU00007019415,2670971.009.130.000
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2024-04-17HU00007019415,2700111.006.690.000
2024-04-16HU00007019415,2900521.010.520.000
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2024-04-09HU00007019415,3122451.014.760.000
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2023-12-29HU00007019415,046911965.989.000