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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: 2024-12-11

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APELSO Wealth Management Kiegyensúlyozott Vegyes Alap HUF sorozat
Évesített hozam: -14,06%

dátum azonosító árfolyam* eszközérték
2025-03-10HU00007077320,938261596.092.000
2025-03-07HU00007077320,941843598.368.000
2025-03-06HU00007077320,948423602.549.000
2025-03-05HU00007077320,947031601.664.000
2025-03-04HU00007077320,949806603.427.000
2025-03-03HU00007077320,966537614.057.000
2025-02-28HU00007077320,963094611.869.000
2025-02-27HU00007077320,964342612.662.000
2025-02-26HU00007077320,966210613.849.000
2025-02-25HU00007077320,962699611.618.000

2025-02-24HU00007077320,968036615.009.000
2025-02-21HU00007077320,974174618.909.000
2025-02-20HU00007077320,971460617.185.000
2025-02-19HU00007077320,971571617.255.000
2025-02-18HU00007077320,972419617.793.000
2025-02-17HU00007077320,972357617.754.000
2025-02-14HU00007077320,969039615.646.000
2025-02-13HU00007077320,969649616.034.000
2025-02-12HU00007077320,967301614.542.000
2025-02-11HU00007077320,972904618.102.000
2025-02-10HU00007077320,975664619.855.000
2025-02-07HU00007077320,972096617.588.000
2025-02-06HU00007077320,976915620.650.000
2025-02-05HU00007077320,970165591.387.000
2025-02-04HU00007077320,972971593.097.000
2025-02-03HU00007077320,975039594.358.000
2025-01-31HU00007077320,974425558.418.000
2025-01-30HU00007077320,971235561.605.000
2025-01-29HU00007077320,969714535.751.000
2025-01-28HU00007077320,967658534.615.000
2025-01-27HU00007077320,964035532.613.000
2025-01-24HU00007077320,969697535.741.000
2025-01-23HU00007077320,971629536.808.000
2025-01-22HU00007077320,969868535.836.000
2025-01-21HU00007077320,969091535.407.000
2025-01-20HU00007077320,971105536.519.000
2025-01-17HU00007077320,970976536.448.000
2025-01-16HU00007077320,964554533.007.000
2025-01-15HU00007077320,961188531.147.000
2025-01-14HU00007077320,957401529.054.000
2025-01-13HU00007077320,959401530.159.000
2025-01-10HU00007077320,959295493.651.000
2025-01-09HU00007077320,964467496.312.000
2025-01-08HU00007077320,964687496.425.000
2025-01-07HU00007077320,964658496.411.000
2025-01-06HU00007077320,968804498.544.000
2025-01-03HU00007077320,967323497.782.000
2025-01-02HU00007077320,962662495.383.000
2024-12-31HU00007077320,959293493.650.000
2024-12-30HU00007077320,959133493.567.000
2024-12-23HU00007077320,965037496.605.000
2024-12-20HU00007077320,965665496.928.000
2024-12-19HU00007077320,965297496.739.000
2024-12-18HU00007077320,965261479.285.000
2024-12-17HU00007077320,963230478.276.000
2024-12-16HU00007077320,965821479.563.000
2024-12-13HU00007077320,967904480.597.000
2024-12-12HU00007077320,970011481.643.000
2024-12-11HU00007077320,971568443.567.000