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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: 2021-11-05

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VIG Russia Részvény Befektetési Alap I sorozat
Évesített hozam: -65,09%

dátum azonosító árfolyam* eszközérték
2023-04-26HU00007095140,198997142.319
2023-04-25HU00007095140,198940142.278
2023-04-24HU00007095140,198833142.202
2023-04-21HU00007095140,198719142.120
2023-04-20HU00007095140,198931142.272
2023-04-19HU00007095140,198617142.047
2023-04-18HU00007095140,196747140.710
2023-04-17HU00007095140,197119140.976
2023-04-14HU00007095140,197133140.986
2023-04-13HU00007095140,197470141.227

2023-04-12HU00007095140,197871141.514
2023-04-11HU00007095140,197824141.480
2023-04-06HU00007095140,198513141.973
2023-04-05HU00007095140,198734142.131
2023-04-04HU00007095140,198732142.130
2023-04-03HU00007095140,200007114.093.000
2023-03-31HU00007095140,199995114.086.000
2023-03-30HU00007095140,200060114.123.000
2023-03-29HU00007095140,200120114.158.000
2023-03-28HU00007095140,200941114.626.000
2023-03-27HU00007095140,201155114.748.000
2023-03-24HU00007095140,201668115.041.000
2022-03-03HU00007095140,627290357.835.000
2022-03-02HU00007095140,652466372.197.000
2022-03-01HU00007095140,906482517.099.000
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2022-02-22HU00007095143,2944971.879.330.000
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2022-02-18HU00007095143,7383902.132.550.000
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2022-01-31HU00007095143,8523662.138.820.000
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2022-01-07HU00007095144,1184941.710.660.000
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2022-01-05HU00007095144,1659701.730.380.000
2022-01-04HU00007095144,3337751.800.080.000
2022-01-03HU00007095144,3452921.804.870.000
2021-12-31HU00007095144,2994681.785.830.000
2021-12-30HU00007095144,3128351.791.380.000
2021-12-29HU00007095144,3155871.792.530.000
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2021-12-27HU00007095144,3230091.795.610.000
2021-12-23HU00007095144,2696601.760.630.000
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2021-12-06HU00007095144,2769902.694.230.000
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2021-12-01HU00007095144,3946182.768.330.000
2021-11-30HU00007095144,3051172.711.950.000
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2021-11-24HU00007095144,4607072.825.370.000
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2021-11-19HU00007095144,5260502.866.760.000
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2021-11-12HU00007095144,7026093.507.030.000
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2021-11-08HU00007095144,7590923.549.150.000
2021-11-05HU00007095144,6985623.504.010.000