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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: 2024-09-22

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Amundi Óvatos Kötvény Alap C Sorozat
Évesített hozam: 7,90%

dátum azonosító árfolyam* eszközérték
2024-11-20HU00007041685,3246425.572.220.000
2024-11-19HU00007041685,3248115.572.400.000
2024-11-18HU00007041685,3228345.570.330.000
2024-11-15HU00007041685,3202405.567.610.000
2024-11-14HU00007041685,3196895.567.040.000
2024-11-13HU00007041685,3165865.563.790.000
2024-11-12HU00007041685,3161785.599.620.000
2024-11-11HU00007041685,3133925.596.680.000
2024-11-08HU00007041685,3133655.596.660.000
2024-11-07HU00007041685,3111165.594.290.000

2024-11-06HU00007041685,3053865.588.250.000
2024-11-05HU00007041685,3020285.588.130.000
2024-11-04HU00007041685,3015985.589.800.000
2024-10-31HU00007041685,3006645.625.810.000
2024-10-30HU00007041685,2981085.623.100.000
2024-10-29HU00007041685,2930875.619.360.000
2024-10-28HU00007041685,2952475.621.650.000
2024-10-25HU00007041685,2946125.620.980.000
2024-10-24HU00007041685,2942295.620.570.000
2024-10-22HU00007041685,2901485.616.240.000
2024-10-21HU00007041685,2896725.622.000.000
2024-10-18HU00007041685,2899575.627.400.000
2024-10-17HU00007041685,2898395.687.000.000
2024-10-16HU00007041685,2884155.685.470.000
2024-10-15HU00007041685,2858135.682.670.000
2024-10-14HU00007041685,2836665.695.360.000
2024-10-11HU00007041685,2830965.694.750.000
2024-10-10HU00007041685,2827935.705.230.000
2024-10-09HU00007041685,2800255.702.240.000
2024-10-08HU00007041685,2771325.746.000.000
2024-10-07HU00007041685,2756845.744.420.000
2024-10-04HU00007041685,2739745.742.560.000
2024-10-03HU00007041685,2739315.742.510.000
2024-10-02HU00007041685,2728925.751.680.000
2024-10-01HU00007041685,2737765.754.750.000
2024-09-30HU00007041685,2704595.751.130.000
2024-09-27HU00007041685,2691625.749.720.000
2024-09-26HU00007041685,2660955.746.370.000
2024-09-25HU00007041685,2615815.741.450.000
2024-09-24HU00007041685,2596305.739.320.000
2024-09-23HU00007041685,2585895.738.180.000