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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: 2021-09-22

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CIB Felelős Befektetések Származtatott Alapja
Évesített hozam: 4,59%

dátum azonosító árfolyam* eszközérték
2023-08-04HU000072512210.822,1692001.575.040.000
2023-08-03HU000072512210.873,2594001.582.470.000
2023-08-02HU000072512210.871,5860001.582.230.000
2023-08-01HU000072512210.867,6243001.581.650.000
2023-07-31HU000072512210.865,9548001.581.410.000
2023-07-28HU000072512210.861,3178001.580.730.000
2023-07-27HU000072512210.814,0008001.573.850.000
2023-07-26HU000072512210.808,1353001.572.990.000
2023-07-25HU000072512210.799,0371001.572.530.000
2023-07-24HU000072512210.789,3278001.572.040.000

2023-07-21HU000072512210.780,3757001.570.730.000
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2023-07-19HU000072512210.746,3197001.565.790.000
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2023-07-14HU000072512210.742,6947001.572.570.000
2023-07-13HU000072512210.723,9183001.569.820.000
2023-07-12HU000072512210.706,9217001.567.280.000
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2023-07-06HU000072512210.733,7995001.573.220.000
2023-07-05HU000072512210.744,2160001.574.750.000
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2023-07-03HU000072512210.722,6878001.570.900.000
2023-06-30HU000072512210.709,2557001.566.810.000
2023-06-29HU000072512210.704,1617001.563.230.000
2023-06-28HU000072512210.692,7684001.561.200.000
2023-06-27HU000072512210.677,5843001.558.980.000
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2023-06-16HU000072512210.681,3523001.564.290.000
2023-06-15HU000072512210.674,8615001.562.860.000
2023-06-14HU000072512210.670,1257001.562.170.000
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2023-06-02HU000072512210.608,4468001.558.550.000
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2023-05-31HU000072512210.606,1515001.559.520.000
2023-05-30HU000072512210.608,7465001.560.960.000
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2023-05-24HU000072512210.619,9500001.562.740.000
2023-05-23HU000072512210.608,1794001.561.000.000
2023-05-22HU000072512210.605,1037001.563.530.000
2023-05-19HU000072512210.587,0444001.560.870.000
2023-05-18HU000072512210.593,0159001.561.700.000
2023-05-17HU000072512210.603,9196001.563.300.000
2023-05-16HU000072512210.614,0247001.566.390.000
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2023-05-12HU000072512210.582,7325001.563.980.000
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2023-04-27HU000072512210.493,2017001.552.650.000
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2023-03-13HU000072512210.297,1801001.522.570.000
2023-03-10HU000072512210.334,4035001.528.080.000
2023-03-09HU000072512210.324,1777001.526.360.000
2023-03-08HU000072512210.318,3575001.525.500.000
2023-03-07HU000072512210.313,5418001.524.920.000
2023-03-06HU000072512210.304,1699001.525.650.000
2023-03-03HU000072512210.271,5681001.521.320.000
2023-03-02HU000072512210.258,8707001.519.440.000
2023-03-01HU000072512210.280,4278001.522.630.000
2023-02-28HU000072512210.285,7869001.523.430.000
2023-02-27HU000072512210.277,6976001.522.030.000
2023-02-24HU000072512210.269,2371001.526.080.000
2023-02-23HU000072512210.266,1285001.525.380.000
2023-02-22HU000072512210.263,4879001.524.990.000
2023-02-21HU000072512210.269,6961001.525.910.000
2023-02-20HU000072512210.254,6269001.518.820.000
2023-02-17HU000072512210.249,8095001.518.110.000
2023-02-16HU000072512210.231,5570001.515.410.000
2023-02-15HU000072512210.239,5703001.516.590.000
2023-02-14HU000072512210.225,2006001.515.520.000
2023-02-13HU000072512210.230,8497001.516.360.000
2023-02-10HU000072512210.218,5945001.514.540.000
2023-02-09HU000072512210.225,8132001.516.630.000
2023-02-08HU000072512210.221,1962001.515.950.000
2023-02-07HU000072512210.198,1852001.512.530.000
2023-02-06HU000072512210.200,4648001.529.200.000
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2023-02-02HU000072512210.190,1617001.527.660.000
2023-02-01HU000072512210.184,5034001.526.810.000
2023-01-31HU000072512210.196,1956001.533.800.000
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2023-01-19HU000072512210.143,8870001.541.730.000
2023-01-18HU000072512210.150,6247001.542.750.000
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2023-01-13HU000072512210.090,5338001.538.870.000
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2023-01-09HU000072512210.028,5653001.529.420.000
2023-01-06HU00007251229.990,3438001.524.750.000
2023-01-05HU000072512210.008,1674001.530.270.000
2023-01-04HU00007251229.936,2216001.519.270.000
2023-01-03HU00007251229.896,8318001.515.150.000
2023-01-02HU00007251229.862,5464001.509.900.000
2022-12-30HU00007251229.872,0896001.511.360.000
2022-12-29HU00007251229.870,1557001.511.060.000
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2022-12-23HU00007251229.860,4254001.509.570.000
2022-12-22HU00007251229.852,4674001.508.350.000
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