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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: 2024-12-12

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Generali Arany Oroszlán ESG Nemzetközi Részvény Alap B sorozat
Évesített hozam: 31,27%

dátum azonosító árfolyam* eszközérték
2025-03-10HU00007107100,0249085.185.490
2025-03-07HU00007107100,0252455.255.680
2025-03-06HU00007107100,0254765.303.840
2025-03-05HU00007107100,0253475.277.050
2025-03-04HU00007107100,0249285.188.570
2025-03-03HU00007107100,0254805.303.480
2025-02-28HU00007107100,0251945.243.900
2025-02-27HU00007107100,0252375.252.880
2025-02-26HU00007107100,0254575.298.600
2025-02-25HU00007107100,0251285.230.120

2025-02-24HU00007107100,0251275.230.010
2025-02-21HU00007107100,0251785.238.390
2025-02-20HU00007107100,0251305.228.290
2025-02-19HU00007107100,0251455.230.160
2025-02-18HU00007107100,0254515.293.740
2025-02-17HU00007107100,0253915.279.450
2025-02-14HU00007107100,0252935.259.130
2025-02-13HU00007107100,0252745.253.880
2025-02-12HU00007107100,0248815.172.230
2025-02-11HU00007107100,0248075.156.880
2025-02-10HU00007107100,0246735.129.060
2025-02-07HU00007107100,0245325.099.730
2025-02-06HU00007107100,0246485.123.810
2025-02-05HU00007107100,0243125.052.210
2025-02-04HU00007107100,0243015.049.840
2025-02-03HU00007107100,0241415.016.620
2025-01-31HU00007107100,0244385.078.330
2025-01-30HU00007107100,0244185.074.210
2025-01-29HU00007107100,0242115.031.140
2025-01-28HU00007107100,0240614.999.080
2025-01-27HU00007107100,0240384.994.150
2025-01-24HU00007107100,0241765.022.950
2025-01-23HU00007107100,0241595.019.360
2025-01-22HU00007107100,0240865.002.310
2025-01-21HU00007107100,0239224.968.400
2025-01-20HU00007107100,0239044.964.560
2025-01-17HU00007107100,0238224.947.600
2025-01-16HU00007107100,0236634.914.590
2025-01-15HU00007107100,0233834.856.300
2025-01-14HU00007107100,0231504.808.100
2025-01-13HU00007107100,0230444.785.910
2025-01-10HU00007107100,0231444.809.220
2025-01-09HU00007107100,0232874.838.980
2025-01-08HU00007107100,0232044.821.670
2025-01-07HU00007107100,0232704.835.390
2025-01-06HU00007107100,0231934.817.600
2025-01-03HU00007107100,0227254.720.420
2025-01-02HU00007107100,0229314.763.180
2024-12-31HU00007107100,0228364.743.320
2024-12-30HU00007107100,0227494.721.270
2024-12-23HU00007107100,0226634.702.130
2024-12-20HU00007107100,0227074.738.860
2024-12-19HU00007107100,0227684.751.530
2024-12-18HU00007107100,0230934.819.450
2024-12-17HU00007107100,0230594.811.090
2024-12-16HU00007107100,0230714.813.600
2024-12-13HU00007107100,0231584.826.220
2024-12-12HU00007107100,0231624.827.230