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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: 2024-09-02

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Allianz Rövid Kötvényalap
Évesített hozam: 0,40%

dátum azonosító árfolyam* eszközérték
2024-11-04HU00007071461,709157159.852.000
2024-10-31HU00007071461,707148159.664.000
2024-10-30HU00007071461,703975159.367.000
2024-10-29HU00007071461,707026159.653.000
2024-10-28HU00007071461,709418159.876.000
2024-10-25HU00007071461,709034159.840.000
2024-10-24HU00007071461,708525178.742.000
2024-10-22HU00007071461,710743178.974.000
2024-10-21HU00007071461,713739179.287.000
2024-10-18HU00007071461,714369179.353.000

2024-10-17HU00007071461,715928214.516.000
2024-10-16HU00007071461,714411214.327.000
2024-10-15HU00007071461,713546214.219.000
2024-10-14HU00007071461,715727214.491.000
2024-10-11HU00007071461,715387214.449.000
2024-10-10HU00007071461,715128214.416.000
2024-10-09HU00007071461,713417214.071.000
2024-10-08HU00007071461,710923218.774.000
2024-10-07HU00007071461,714611219.246.000
2024-10-04HU00007071461,714302219.206.000
2024-10-03HU00007071461,717643219.633.000
2024-10-02HU00007071461,718905219.795.000
2024-10-01HU00007071461,719095219.819.000
2024-09-30HU00007071461,718570219.752.000
2024-09-27HU00007071461,717423219.605.000
2024-09-26HU00007071461,715696215.767.000
2024-09-25HU00007071461,714479215.614.000
2024-09-24HU00007071461,713604215.504.000
2024-09-23HU00007071461,713136215.446.000
2024-09-20HU00007071461,713145215.447.000
2024-09-19HU00007071461,713348215.472.000
2024-09-18HU00007071461,713593215.503.000
2024-09-17HU00007071461,713358215.988.000
2024-09-16HU00007071461,712939222.336.000
2024-09-13HU00007071461,712700222.699.000
2024-09-12HU00007071461,713047222.744.000
2024-09-11HU00007071461,712225222.637.000
2024-09-10HU00007071461,710402222.298.000
2024-09-09HU00007071461,711469222.437.000
2024-09-06HU00007071461,710636222.328.000
2024-09-05HU00007071461,707998221.986.000
2024-09-04HU00007071461,706570221.800.000
2024-09-03HU00007071461,706671222.325.000
2024-09-02HU00007071461,707972222.665.000