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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: 2024-09-05

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MFC Equity Mercury Befektetési Alap
Évesített hozam: 3,84%

dátum azonosító árfolyam* eszközérték
2024-12-19HU0000726203133,6003312.027.520
2024-12-18HU0000726203134,3182682.038.410
2024-12-17HU0000726203138,1732092.096.920
2024-12-16HU0000726203138,8682282.107.460
2024-12-13HU0000726203139,3652562.115.010
2024-12-12HU0000726203139,6663022.119.580
2024-12-11HU0000726203140,5277542.132.650
2024-12-10HU0000726203140,1133192.126.360
2024-12-09HU0000726203141,3103622.144.530
2024-12-06HU0000726203142,0711392.156.070

2024-12-05HU0000726203142,7291862.166.060
2024-12-04HU0000726203142,7397002.166.220
2024-12-03HU0000726203142,9381782.169.230
2024-12-02HU0000726203143,7226072.181.130
2024-11-29HU0000726203144,6891912.195.800
2024-11-28HU0000726203143,6821982.180.520
2024-11-27HU0000726203143,6905192.180.650
2024-11-26HU0000726203143,7826952.182.050
2024-11-25HU0000726203144,2019022.188.410
2024-11-22HU0000726203143,6445242.179.950
2024-11-21HU0000726203142,3772282.160.720
2024-11-20HU0000726203140,6923892.135.150
2024-11-19HU0000726203140,7403732.135.880
2024-11-18HU0000726203140,5595662.133.130
2024-11-15HU0000726203140,2004602.127.680
2024-11-14HU0000726203141,1854012.142.630
2024-11-13HU0000726203141,0154202.140.050
2024-11-12HU0000726203140,9551092.139.130
2024-11-11HU0000726203142,2620452.158.970
2024-11-08HU0000726203142,4494262.161.810
2024-11-07HU0000726203141,2699662.143.910
2024-11-06HU0000726203140,3886122.130.540
2024-11-05HU0000726203138,4520362.101.150
2024-11-04HU0000726203137,4233182.085.540
2024-10-31HU0000726203137,5771652.087.870
2024-10-30HU0000726203139,6033832.118.620
2024-10-29HU0000726203139,9386452.123.710
2024-10-28HU0000726203141,0803422.141.040
2024-10-25HU0000726203140,4851952.132.000
2024-10-24HU0000726203139,9487032.123.860
2024-10-22HU0000726203141,1086982.141.470
2024-10-21HU0000726203141,4049872.145.960
2024-10-18HU0000726203142,5457742.163.270
2024-10-17HU0000726203141,7491942.151.190
2024-10-16HU0000726203141,5023602.147.440
2024-10-15HU0000726203140,5340222.132.740
2024-10-14HU0000726203140,6328292.134.240
2024-10-11HU0000726203139,9290102.123.560
2024-10-10HU0000726203138,9103462.108.100
2024-10-09HU0000726203139,7587762.120.980
2024-10-08HU0000726203139,3496332.114.770
2024-10-07HU0000726203139,2657992.113.500
2024-10-04HU0000726203140,5008052.132.240
2024-10-03HU0000726203139,8220222.121.940
2024-10-02HU0000726203140,1698622.127.220
2024-10-01HU0000726203140,2444792.128.350
2024-09-30HU0000726203141,0166802.140.070
2024-09-27HU0000726203140,8690532.137.830
2024-09-26HU0000726203140,2882772.129.020
2024-09-25HU0000726203139,8766102.122.770
2024-09-24HU0000726203140,9077212.138.420
2024-09-23HU0000726203140,3204302.129.500
2024-09-20HU0000726203139,1956592.112.430
2024-09-19HU0000726203139,5349662.117.580
2024-09-18HU0000726203138,4565202.101.220
2024-09-17HU0000726203139,1109942.111.150
2024-09-16HU0000726203139,2670032.113.520
2024-09-13HU0000726203137,9174662.093.040
2024-09-12HU0000726203135,7569192.060.250
2024-09-11HU0000726203133,9756592.033.210
2024-09-10HU0000726203133,7162492.029.280
2024-09-09HU0000726203132,7299642.014.310
2024-09-06HU0000726203130,8852811.986.320
2024-09-05HU0000726203132,1405592.005.370