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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: 2021-11-01

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AEGON IstanBull Részvény Befektetési Alap I sorozat
Évesített hozam: 77,31%

dátum azonosító árfolyam* eszközérték
2022-11-09HU00007095222,5723881.519.740
2022-11-08HU00007095222,5674191.516.800
2022-11-07HU00007095222,5478472.574.150
2022-11-04HU00007095222,5389752.565.190
2022-11-03HU00007095222,5306292.556.760
2022-11-02HU00007095222,4795312.505.130
2022-10-28HU00007095222,3739182.398.430
2022-10-27HU00007095222,3645082.388.920
2022-10-26HU00007095222,4119932.436.890
2022-10-25HU00007095222,4648872.490.330

2022-10-24HU00007095222,4875182.513.200
2022-10-21HU00007095222,4888462.514.540
2022-10-20HU00007095222,4686512.494.140
2022-10-19HU00007095222,4650472.490.500
2022-10-18HU00007095222,4413302.466.530
2022-10-17HU00007095222,4054302.430.260
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2022-10-13HU00007095222,3602362.384.600
2022-10-12HU00007095222,3229392.346.920
2022-10-11HU00007095222,3632152.387.610
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2022-10-07HU00007095222,3256212.349.630
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2022-10-05HU00007095222,2361742.259.260
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2022-09-30HU00007095222,0866572.108.200
2022-09-29HU00007095222,0979562.119.620
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2022-09-27HU00007095222,1268432.148.800
2022-09-26HU00007095222,1112182.133.010
2022-09-23HU00007095222,1238102.145.740
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2022-08-31HU00007095221,9529831.973.150
2022-08-29HU00007095221,9820672.002.530
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2022-08-24HU00007095221,9301771.950.100
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2022-08-22HU00007095221,8999731.919.590
2022-08-19HU00007095221,8676771.886.960
2022-08-18HU00007095221,8612641.880.480
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2022-08-15HU00007095221,7204911.738.250
2022-08-12HU00007095221,6931181.710.600
2022-08-11HU00007095221,6989621.716.500
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2022-08-09HU00007095221,6666211.683.830
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2022-08-03HU00007095221,6227601.639.510
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2022-08-01HU00007095221,6340941.650.960
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2022-07-07HU00007095221,5907221.607.140
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2022-07-04HU00007095221,5451401.561.090
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2022-06-30HU00007095221,5393821.555.280
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2022-06-24HU00007095221,5716351.587.860
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2022-06-01HU00007095221,6500071.667.040
2022-05-31HU00007095221,6252261.642.000
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2022-05-27HU00007095221,5505071.566.510
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2022-05-16HU00007095221,6059391.622.520
2022-05-13HU00007095221,6383341.655.250
2022-05-12HU00007095221,6182111.634.920
2022-05-11HU00007095221,6398491.656.780
2022-05-10HU00007095221,6691471.686.380
2022-05-09HU00007095221,7100461.727.700
2022-05-06HU00007095221,6887161.706.150
2022-05-05HU00007095221,6863321.703.740
2022-04-29HU00007095221,6647401.681.930
2022-04-28HU00007095221,6773881.694.700
2022-04-27HU00007095221,6933431.710.820
2022-04-26HU00007095221,6413951.658.340
2022-04-25HU00007095221,6680071.685.230
2022-04-22HU00007095221,6457421.662.730
2022-04-21HU00007095221,6965751.714.090
2022-04-20HU00007095221,6903871.707.840
2022-04-19HU00007095221,7012151.718.780
2022-04-14HU00007095221,6789551.696.290
2022-04-13HU00007095221,6909401.708.400
2022-04-12HU00007095221,6778581.695.180
2022-04-11HU00007095221,6567121.673.820
2022-04-08HU00007095221,6091441.625.760
2022-04-07HU00007095221,5917001.608.130
2022-04-06HU00007095221,5525361.568.560
2022-04-05HU00007095221,5212931.537.000
2022-04-04HU00007095221,4979351.513.400
2022-04-01HU00007095221,4481631.463.110
2022-03-31HU00007095221,4379761.452.820
2022-03-30HU00007095221,4251371.439.850
2022-03-29HU00007095221,4336221.448.420
2022-03-28HU00007095221,4048451.419.350
2022-03-25HU00007095221,4153021.429.910
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2022-03-23HU00007095221,4138621.428.460
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2022-03-11HU00007095221,3298071.343.540
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2022-03-09HU00007095221,3616331.375.690
2022-03-08HU00007095221,3825001.396.770
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2022-03-04HU00007095221,3557311.369.730
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2022-03-02HU00007095221,3592311.373.260
2022-03-01HU00007095221,3250711.338.750
2022-02-28HU00007095221,3145881.328.160
2022-02-25HU00007095221,2914871.304.820
2022-02-24HU00007095221,2069271.219.390
2022-02-23HU00007095221,3105761.324.110
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2022-02-21HU00007095221,3462381.360.140
2022-02-18HU00007095221,3407881.354.630
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2022-02-15HU00007095221,3441991.358.080
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2022-02-08HU00007095221,3027591.316.210
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2022-02-03HU00007095221,2964381.309.820
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2022-01-31HU00007095221,3776921.391.920
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2021-12-31HU00007095221,2563561.269.330
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2021-11-03HU00007095221,422537101.639.000
2021-11-02HU00007095221,438726102.796.000