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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: 2024-06-29

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Amundi Nemzetközi Vegyes Alapok Alapja A Sorozat
Évesített hozam: 18,85%

dátum azonosító árfolyam* eszközérték
2024-12-20HU00007066435,69631328.187.100.000
2024-12-19HU00007066435,68303628.082.100.000
2024-12-18HU00007066435,66144227.973.100.000
2024-12-17HU00007066435,70040628.127.700.000
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2024-12-12HU00007066435,73551328.229.200.000
2024-12-11HU00007066435,75882728.300.000.000
2024-12-10HU00007066435,73257828.103.000.000
2024-12-09HU00007066435,73572828.089.800.000

2024-12-06HU00007066435,74761328.124.900.000
2024-12-05HU00007066435,74111928.086.100.000
2024-12-04HU00007066435,75054528.112.100.000
2024-12-03HU00007066435,72766027.996.000.000
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2024-11-29HU00007066435,69028927.755.300.000
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2024-11-27HU00007066435,67509327.651.900.000
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2024-11-19HU00007066435,58668026.993.500.000
2024-11-18HU00007066435,59752427.025.400.000
2024-11-15HU00007066435,56526226.843.000.000
2024-11-14HU00007066435,62527927.097.300.000
2024-11-13HU00007066435,61265927.035.500.000
2024-11-12HU00007066435,62153727.074.500.000
2024-11-11HU00007066435,61665227.083.900.000
2024-11-08HU00007066435,57663126.873.100.000
2024-11-07HU00007066435,58152626.870.000.000
2024-11-06HU00007066435,56274326.794.300.000
2024-11-05HU00007066435,48028526.332.000.000
2024-11-04HU00007066435,44873026.152.200.000
2024-10-31HU00007066435,45236926.128.400.000
2024-10-30HU00007066435,48022426.255.800.000
2024-10-29HU00007066435,47369926.189.300.000
2024-10-28HU00007066435,47633526.192.400.000
2024-10-25HU00007066435,47393626.175.300.000
2024-10-24HU00007066435,46176126.092.000.000
2024-10-22HU00007066435,45992426.062.800.000
2024-10-21HU00007066435,47133526.080.300.000
2024-10-18HU00007066435,48884726.180.000.000
2024-10-17HU00007066435,48791326.161.900.000
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2024-10-11HU00007066435,45559525.941.000.000
2024-10-10HU00007066435,43850025.859.600.000
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2024-10-04HU00007066435,42389725.735.700.000
2024-10-03HU00007066435,39755025.676.200.000
2024-10-02HU00007066435,39996625.681.700.000
2024-10-01HU00007066435,38440525.601.800.000
2024-09-30HU00007066435,37400825.548.300.000
2024-09-27HU00007066435,39156025.622.000.000
2024-09-26HU00007066435,38356425.569.200.000
2024-09-25HU00007066435,33989225.359.700.000
2024-09-24HU00007066435,34785225.401.700.000
2024-09-23HU00007066435,34274125.373.100.000
2024-09-20HU00007066435,31709325.253.400.000
2024-09-19HU00007066435,33318425.316.500.000
2024-09-18HU00007066435,30391925.183.100.000
2024-09-17HU00007066435,30960425.207.400.000
2024-09-16HU00007066435,30738425.190.800.000
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2024-09-12HU00007066435,33248525.304.000.000
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2024-09-10HU00007066435,29940125.121.100.000
2024-09-09HU00007066435,27130524.987.400.000
2024-09-06HU00007066435,23151824.773.600.000
2024-09-05HU00007066435,26050824.826.200.000
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2024-09-03HU00007066435,28197824.901.300.000
2024-09-02HU00007066435,30843425.025.500.000
2024-08-30HU00007066435,30551225.012.000.000
2024-08-29HU00007066435,29180324.937.900.000
2024-08-28HU00007066435,27575024.863.800.000
2024-08-27HU00007066435,29045224.923.100.000
2024-08-26HU00007066435,29383524.920.500.000
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2024-08-16HU00007066435,29484524.882.500.000
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2024-08-09HU00007066435,20313724.426.900.000
2024-08-08HU00007066435,20144324.412.200.000
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2024-07-31HU00007066435,31566324.815.200.000
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2024-07-22HU00007066435,24930724.467.900.000
2024-07-19HU00007066435,23683724.427.200.000
2024-07-18HU00007066435,23867224.392.500.000
2024-07-17HU00007066435,25402424.461.100.000
2024-07-16HU00007066435,29414724.599.000.000
2024-07-15HU00007066435,29044324.377.900.000
2024-07-12HU00007066435,30272124.430.500.000
2024-07-11HU00007066435,29260924.390.600.000
2024-07-10HU00007066435,28478124.350.800.000
2024-07-09HU00007066435,28365624.333.800.000
2024-07-08HU00007066435,26136524.226.000.000
2024-07-05HU00007066435,25530824.170.200.000
2024-07-04HU00007066435,25699724.162.800.000
2024-07-03HU00007066435,26521624.199.300.000
2024-07-02HU00007066435,25839524.170.900.000
2024-07-01HU00007066435,23160924.052.600.000