maximax logo
 

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: 2024-04-28

1 hónap |  2 hónap |  3 hónap |  6 hónap |  12 hónap |  24 hónap |  36 hónap |  48 hónap |  60 hónap





HOLD Hozamkereső Európai Származtatott Részvény Befektetési Alap
Évesített hozam: -6,37%

dátum azonosító árfolyam* eszközérték
2024-09-05HU000071191613,11759827.189.800
2024-09-04HU000071191613,17343227.305.500
2024-09-03HU000071191613,31308727.593.000
2024-09-02HU000071191613,45188528.374.100
2024-08-30HU000071191613,42145528.309.900
2024-08-29HU000071191613,43986128.348.700
2024-08-28HU000071191613,33035628.117.800
2024-08-27HU000071191613,30295728.060.000
2024-08-26HU000071191613,28989128.032.400
2024-08-23HU000071191613,32402328.104.400

2024-08-22HU000071191613,25569127.960.300
2024-08-21HU000071191613,25828927.965.700
2024-08-16HU000071191613,16002327.758.500
2024-08-15HU000071191613,08776827.606.100
2024-08-14HU000071191612,88411627.176.500
2024-08-13HU000071191612,81987727.041.000
2024-08-12HU000071191612,76545826.926.200
2024-08-09HU000071191612,77651126.949.500
2024-08-08HU000071191612,76481226.924.900
2024-08-07HU000071191612,76225826.919.500
2024-08-06HU000071191612,52750026.424.300
2024-08-05HU000071191612,52284026.414.500
2024-08-02HU000071191612,68410526.754.600
2024-08-01HU000071191612,97403026.597.500
2024-07-31HU000071191613,23312027.128.700
2024-07-30HU000071191613,16584126.991.000
2024-07-29HU000071191613,10250526.861.200
2024-07-26HU000071191613,20873027.078.900
2024-07-25HU000071191613,08801826.831.500
2024-07-24HU000071191613,19799927.056.900
2024-07-23HU000071191613,30562527.277.600
2024-07-22HU000071191613,29186027.248.700
2024-07-19HU000071191613,12151826.899.500
2024-07-18HU000071191613,23808127.138.500
2024-07-17HU000071191613,27315127.210.400
2024-07-16HU000071191613,34867527.364.800
2024-07-15HU000071191613,43606127.543.900
2024-07-12HU000071191613,56910227.816.600
2024-07-11HU000071191613,42849827.528.300
2024-07-10HU000071191613,37399827.416.600
2024-07-09HU000071191613,25277127.168.000
2024-07-08HU000071191613,40637027.482.900
2024-07-05HU000071191613,42539427.521.900
2024-07-04HU000071191613,44490727.425.900
2024-07-03HU000071191613,39578827.324.600
2024-07-02HU000071191613,25876627.042.500
2024-07-01HU000071191613,32792426.989.000
2024-06-28HU000071191613,22969726.790.100
2024-06-27HU000071191613,26136926.854.200
2024-06-26HU000071191613,30387326.940.300
2024-06-25HU000071191613,34404027.021.600
2024-06-24HU000071191613,39337227.121.500
2024-06-21HU000071191613,29831326.929.000
2024-06-20HU000071191613,37669627.087.800
2024-06-19HU000071191613,24742626.826.100
2024-06-18HU000071191613,31116526.955.200
2024-06-17HU000071191613,24260426.816.300
2024-06-14HU000071191613,15720726.643.400
2024-06-13HU000071191613,37416727.082.700
2024-06-12HU000071191613,59596227.531.600
2024-06-11HU000071191613,46432627.265.100
2024-06-10HU000071191613,57375027.486.700
2024-06-07HU000071191613,65154727.664.100
2024-06-06HU000071191613,68669527.735.300
2024-06-05HU000071191613,61847227.597.100
2024-06-04HU000071191613,46663527.289.400
2024-06-03HU000071191613,59166326.563.000
2024-05-31HU000071191613,53224026.444.900
2024-05-30HU000071191613,52975326.440.000
2024-05-29HU000071191613,46970426.322.600
2024-05-28HU000071191613,61497626.606.500
2024-05-27HU000071191613,66249626.699.300
2024-05-24HU000071191613,60775426.592.400
2024-05-23HU000071191613,61818926.612.700
2024-05-22HU000071191613,59780426.572.600
2024-05-21HU000071191613,64353726.661.600
2024-05-17HU000071191613,66757826.708.600
2024-05-16HU000071191613,68985926.745.900
2024-05-15HU000071191613,74894826.940.000
2024-05-14HU000071191613,70947926.862.600
2024-05-13HU000071191613,69889226.841.900
2024-05-10HU000071191613,69584326.835.900
2024-05-09HU000071191613,63169026.710.200
2024-05-08HU000071191613,57258826.585.400
2024-05-07HU000071191613,52642926.495.000
2024-05-06HU000071191613,39337226.117.800
2024-05-03HU000071191613,30129325.938.100
2024-05-02HU000071191613,23458225.015.100
2024-04-30HU000071191613,30848825.154.800
2024-04-29HU000071191613,41963425.364.900