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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: 2020-09-20

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Biggeorge 12. Ingatlanforgalmazó Ingatlanbefektetési Alap A sorozat
Évesített hozam: -0,23%

dátum azonosító árfolyam* eszközérték
2024-10-29HU00007199271,18660110.752.600
2024-10-22HU00007199271,18506210.738.600
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2024-10-08HU00007199271,18199110.710.800
2024-10-01HU00007199271,18045810.696.900
2024-09-24HU00007199271,17892810.683.000
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2024-09-10HU00007199271,17587210.655.300
2024-09-03HU00007199271,17434710.641.500
2024-08-27HU00007199271,17282410.627.700

2024-08-22HU00007199271,17173810.617.900
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2024-08-06HU00007199271,16663410.571.600
2024-07-30HU00007199271,16675310.572.700
2024-07-23HU00007199271,16524010.559.000
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2024-06-11HU00007199271,15620310.477.100
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2024-05-14HU00007199271,15021810.422.900
2024-05-07HU00007199271,14534210.378.700
2024-04-30HU00007199271,14723710.395.900
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2024-04-16HU00007199271,14426310.368.900
2024-04-09HU00007199271,14278010.355.500
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2024-03-26HU00007199271,13981810.328.600
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2023-12-31HU00007199271,12179210.165.300
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2023-11-28HU00007199271,11495010.103.300
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2023-10-25HU00007199271,10794610.039.800
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2023-10-03HU00007199271,1034379.998.960
2023-09-26HU00007199271,1020069.985.990
2023-09-19HU00007199271,1005779.973.040
2023-09-12HU00007199271,0991509.960.110
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2023-08-29HU00007199271,0963019.934.290
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2023-08-15HU00007199271,0934599.908.550
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2023-07-25HU00007199271,0892119.870.050
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2023-06-27HU00007199271,0835739.818.960
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2023-05-03HU00007199271,0725829.719.360
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2023-04-18HU00007199271,0696039.692.370
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2023-04-04HU00007199271,0668319.667.250
2023-03-28HU00007199271,0654489.654.720
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2023-03-07HU00007199271,0613089.617.210
2023-02-28HU00007199271,0599329.604.740
2023-02-21HU00007199271,0585589.592.280
2023-02-14HU00007199271,0571859.579.840
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2023-01-31HU00007199271,0544459.555.010
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2022-12-31HU00007199271,0484039.500.260
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2022-11-15HU00007199271,0395029.419.600
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2022-10-25HU00007199271,0354639.383.000
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2022-09-20HU00007199271,0287679.322.330
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2022-09-06HU00007199271,0261019.298.160
2022-08-30HU00007199271,0247709.286.110
2022-08-23HU00007199271,0234419.274.070
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2022-07-26HU00007199271,0181439.226.060
2022-07-19HU00007199271,0168239.214.090
2022-07-12HU00007199271,0155049.202.140
2022-07-05HU00007199271,0141889.190.210
2022-06-28HU00007199271,0128729.178.300
2022-06-21HU00007199271,0115599.166.390
2022-06-14HU00007199271,0102479.154.510
2022-06-08HU00007199271,0062369.118.160
2022-05-31HU00007199271,0068289.123.520
2022-05-24HU00007199271,0031719.090.380
2022-05-17HU00007199271,0035759.094.050
2022-05-10HU00007199271,0037149.095.310
2022-05-03HU00007199271,0023249.082.710
2022-04-26HU00007199270,9983959.045.060
2022-04-13HU00007199271,3308727.386.340
2022-04-12HU00007199271,3306267.384.970
2022-04-05HU00007199271,3289007.375.400
2022-03-29HU00007199271,3271777.365.830
2022-03-23HU00007199271,3257027.357.640
2022-03-22HU00007199271,3254567.356.280
2022-03-17HU00007199271,3242287.349.470
2022-03-16HU00007199271,3239837.348.100
2022-03-08HU00007199271,3220217.337.220
2022-03-01HU00007199271,3203067.327.700
2022-02-22HU00007199271,3185947.318.200
2022-02-15HU00007199271,3168857.308.710
2022-02-08HU00007199271,3152007.299.230
2022-02-01HU00007199271,3135007.289.770
2022-01-25HU00007199271,3118007.280.310
2022-01-18HU00007199271,3101007.270.870
2022-01-11HU00007199271,3084007.261.440
2022-01-04HU00007199271,3067007.252.030
2021-12-31HU00007199271,3057007.246.650
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2021-12-21HU00007199271,3033007.233.230
2021-12-14HU00007199271,3016007.223.850
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2021-11-30HU00007199271,2982007.205.130
2021-11-23HU00007199271,2965007.195.790
2021-11-16HU00007199271,2949007.186.460
2021-11-09HU00007199271,2932007.177.140
2021-11-03HU00007199271,2917007.169.160
2021-10-26HU00007199271,2898007.158.540
2021-10-19HU00007199271,2882007.149.260
2021-10-12HU00007199271,2865007.139.980
2021-10-05HU00007199271,2848007.130.720
2021-09-28HU00007199271,2831007.121.480
2021-09-21HU00007199271,2815007.112.240
2021-09-14HU00007199271,2798007.103.020
2021-09-07HU00007199271,2782007.093.810
2021-08-31HU00007199271,2765007.084.610
2021-08-24HU00007199271,2749007.075.430
2021-08-17HU00007199271,2732007.066.250
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2021-08-03HU00007199271,2699007.047.940
2021-07-27HU00007199271,2683007.038.800
2021-07-20HU00007199271,2666007.029.670
2021-07-13HU00007199271,2650007.020.560
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2021-06-29HU00007199271,2617007.002.360
2021-06-22HU00007199271,2601006.993.280
2021-06-15HU00007199271,2584006.984.210
2021-06-08HU00007199271,2568006.975.150
2021-06-01HU00007199271,2552006.966.110
2021-05-26HU00007199271,2538006.958.370
2021-05-18HU00007199271,2519006.948.060
2021-05-11HU00007199271,2503006.939.040
2021-05-04HU00007199271,2487006.930.050
2021-04-27HU00007199271,2470006.921.060
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2021-04-13HU00007199271,2438006.903.120
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2021-03-30HU00007199271,2406006.885.230
2021-03-23HU00007199271,2390006.876.300
2021-03-17HU00007199271,2376006.868.660
2021-03-09HU00007199271,2358006.858.480
2021-03-02HU00007199271,2342006.849.590
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2021-02-16HU00007199271,2310006.831.840
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2021-02-02HU00007199271,2278006.814.130
2021-01-26HU00007199271,2262006.805.290
2021-01-19HU00007199271,2246006.796.470
2021-01-12HU00007199271,2230006.787.660
2021-01-05HU00007199271,2214006.778.850
2020-12-31HU00007199271,2203006.772.570
2020-12-29HU00007199271,2198006.770.060
2020-12-22HU00007199271,21820010.108.500
2020-12-15HU00007199271,21670010.135.300
2020-12-08HU00007199271,21510010.121.800
2020-12-01HU00007199271,21350010.073.600
2020-11-24HU00007199271,21190010.056.400
2020-11-17HU00007199271,21040010.061.000
2020-11-10HU00007199271,20880010.067.200
2020-11-03HU00007199271,2072009.985.270
2020-10-27HU00007199271,2057009.872.490
2020-10-20HU00007199271,2041009.878.080
2020-10-13HU00007199271,2025009.905.990
2020-10-06HU00007199271,2010009.911.550
2020-09-29HU00007199271,1994009.917.140
2020-09-22HU00007199271,1979009.929.570