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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: 2025-01-11

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Raiffeisen ESG Konzervatív Vegyes Alapok Alapja E sorozat
Évesített hozam: -9,74%

dátum azonosító árfolyam* eszközérték
2025-03-11HU00007059830,8840351.675.360
2025-03-10HU00007059830,8831591.663.500
2025-03-07HU00007059830,8889801.674.460
2025-03-06HU00007059830,9007411.696.500
2025-03-05HU00007059830,9030921.686.970
2025-03-04HU00007059830,9088471.685.890
2025-03-03HU00007059830,9066081.676.250
2025-02-28HU00007059830,9064181.670.900
2025-02-27HU00007059830,9055381.669.070
2025-02-26HU00007059830,9058911.662.450

2025-02-25HU00007059830,9062141.655.050
2025-02-24HU00007059830,9052411.603.180
2025-02-21HU00007059830,9063991.604.980
2025-02-20HU00007059830,9072891.602.620
2025-02-19HU00007059830,9063991.589.940
2025-02-18HU00007059830,9068801.590.680
2025-02-17HU00007059830,9088921.567.070
2025-02-14HU00007059830,9062951.562.100
2025-02-13HU00007059830,9094391.558.120
2025-02-13HU00007059830,9095261.558.270
2025-02-12HU00007059830,9121571.555.270
2025-02-12HU00007059830,9119981.555.000
2025-02-11HU00007059830,9097081.551.100
2025-02-11HU00007059830,9096391.550.980
2025-02-10HU00007059830,9107631.552.700
2025-02-10HU00007059830,9106691.552.540
2025-02-07HU00007059830,9094431.550.450
2025-02-07HU00007059830,9094311.550.430
2025-02-06HU00007059830,9077411.548.290
2025-02-06HU00007059830,9078451.548.470
2025-02-05HU00007059830,9083821.544.140
2025-02-05HU00007059830,9083711.544.120
2025-02-04HU00007059830,9063021.540.610
2025-02-04HU00007059830,9063621.540.710
2025-02-03HU00007059830,9035971.502.320
2025-01-31HU00007059830,9006671.476.330
2025-01-30HU00007059830,9011021.476.930
2025-01-29HU00007059830,8982741.492.140
2025-01-28HU00007059830,8991151.409.870
2025-01-27HU00007059830,9023061.412.900
2025-01-24HU00007059830,9019321.360.680
2025-01-23HU00007059830,9009571.328.400
2025-01-22HU00007059830,8990871.319.300
2025-01-21HU00007059830,9006081.321.430
2025-01-20HU00007059830,8986781.312.430
2025-01-17HU00007059830,8973791.309.490
2025-01-16HU00007059830,8917061.300.980
2025-01-15HU00007059830,8945891.298.940
2025-01-14HU00007059830,8948901.298.860
2025-01-13HU00007059830,8976841.294.950