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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: 2022-11-02

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Biggeorge 26. Ingatlanfejlesztő Ingatlanbefektetési Alap
Évesített hozam: 26,33%

dátum azonosító árfolyam* eszközérték
2022-05-26HU0000726161141,917102922.461.000
2022-05-24HU0000726161141,927077922.526.000
2022-05-17HU0000726161142,019040923.124.000
2022-05-10HU0000726161142,182570924.187.000
2022-05-03HU0000726161142,244038924.586.000
2022-04-26HU0000726161142,386899925.515.000
2022-04-20HU0000726161142,595091926.868.000
2022-04-12HU0000726161119,323091775.600.000
2022-04-05HU0000726161119,319728775.578.000
2022-03-29HU0000726161119,317848775.566.000

2022-03-22HU0000726161119,332539775.662.000
2022-03-17HU0000726161119,446902776.405.000
2022-03-08HU0000726161119,420301776.232.000
2022-03-01HU0000726161119,445655776.397.000
2022-02-22HU0000726161119,581173777.278.000
2022-02-15HU0000726161119,652801777.743.000
2022-02-08HU0000726161119,686892777.965.000
2022-02-01HU0000726161119,720496778.183.000
2022-01-25HU0000726161119,788043778.622.000
2022-01-18HU0000726161119,857291779.072.000
2022-01-11HU0000726161103,565242673.174.000
2022-01-04HU0000726161103,669667673.853.000
2021-12-31HU0000726161103,893191675.306.000
2021-12-28HU0000726161103,909640675.413.000
2021-12-21HU0000726161103,989425675.931.000
2021-12-14HU0000726161104,028848676.188.000
2021-12-07HU0000726161104,070079676.455.000
2021-11-30HU0000726161104,112953676.734.000
2021-11-23HU0000726161104,158264677.029.000
2021-11-16HU0000726161104,302085677.964.000
2021-11-09HU0000726161104,345825678.248.000
2021-11-03HU0000726161104,383883678.495.000
2021-10-26HU0000726161104,434637678.825.000
2021-10-19HU0000726161104,508981679.308.000
2021-10-12HU0000726161104,555175679.609.000
2021-10-05HU0000726161104,603001679.919.000
2021-09-28HU0000726161104,650890680.231.000
2021-09-21HU000072616199,646072647.699.000
2021-09-14HU000072616199,704003648.076.000
2021-09-07HU000072616199,751832648.387.000
2021-08-31HU000072616199,799749648.698.000
2021-08-24HU000072616199,847210649.007.000
2021-08-17HU000072616199,894666649.315.000
2021-08-10HU000072616199,942166649.624.000
2021-08-03HU000072616199,989695649.933.000
2021-07-27HU0000726161100,037250650.242.000
2021-07-20HU0000726161100,085046650.553.000
2021-07-13HU0000726161100,132827650.863.000
2021-07-06HU0000726161100,180667651.174.000
2021-06-29HU0000726161100,228668651.486.000
2021-06-22HU0000726161100,276989651.800.000
2021-06-15HU0000726161100,325266652.114.000
2021-06-08HU0000726161100,373545652.428.000
2021-06-01HU0000726161100,421812652.742.000
2021-05-26HU0000726161100,470519653.058.000
2021-05-18HU0000726161100,525208653.414.000
2021-05-11HU0000726161100,572965653.724.000
2021-05-04HU0000726161100,620764654.035.000
2021-04-27HU0000726161100,668756654.347.000
2021-04-20HU0000726161100,729252654.740.000
2021-04-13HU0000726161100,777909655.056.000
2021-04-07HU0000726161100,819476655.327.000
2021-03-30HU0000726161100,921688655.991.000
2021-03-23HU0000726161100,987168656.417.000
2021-03-17HU0000726161101,043408656.782.000
2021-03-09HU0000726161101,118579657.271.000
2021-03-02HU0000726161101,196044657.774.000
2021-02-23HU0000726161101,264144658.217.000
2021-02-16HU0000726161101,332626658.662.000
2021-02-09HU0000726161101,401065659.107.000
2021-02-02HU0000726161101,470593659.559.000
2021-01-26HU0000726161101,538238659.999.000
2021-01-19HU0000726161101,607995660.452.000
2021-01-12HU0000726161101,704794661.081.000
2021-01-05HU0000726161101,769585661.502.000
2020-12-31HU0000726161101,801784661.712.000
2020-12-29HU000072616199,270867645.261.000
2020-12-22HU000072616199,324190645.607.000
2020-12-15HU000072616199,382446645.986.000
2020-12-08HU000072616199,430261646.297.000
2020-12-01HU000072616199,450208497.251.000
2020-11-24HU000072616199,510732497.554.000
2020-11-17HU000072616199,570347497.852.000
2020-11-10HU000072616199,664244498.321.000
2020-11-03HU000072616199,723656498.618.000
2020-10-27HU000072616199,983499499.918.000
2020-10-22HU0000726161100,000000500.000.000