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: 2021-12-05

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





Biggeorge 25. Ingatlanfejlesztő Ingatlanbefektetési Alap A sorozat
Évesített hozam: 7,34%

dátum azonosító árfolyam* eszközérték
2024-11-25HU000072945413.591,35855416.389.600.000
2024-11-18HU000072945413.573,97774916.368.700.000
2024-11-11HU000072945413.556,61917116.347.800.000
2024-11-04HU000072945413.539,28279116.326.800.000
2024-10-28HU000072945413.521,96858216.306.000.000
2024-10-21HU000072945413.504,67651416.285.100.000
2024-10-14HU000072945413.487,40655916.264.300.000
2024-10-07HU000072945413.470,15868916.243.500.000
2024-09-30HU000072945413.452,93287616.222.700.000
2024-09-23HU000072945413.435,72909216.202.000.000

2024-09-16HU000072945413.418,54730816.181.300.000
2024-09-09HU000072945413.401,38749616.160.600.000
2024-09-02HU000072945413.384,24962816.139.900.000
2024-08-26HU000072945413.367,13367716.119.300.000
2024-08-21HU000072945413.354,92140016.104.500.000
2024-08-12HU000072945413.332,96741116.078.100.000
2024-08-05HU000072945413.315,91703916.057.500.000
2024-07-29HU000072945413.298,88847316.037.000.000
2024-07-22HU000072945413.281,88168316.016.400.000
2024-07-15HU000072945413.264,89664115.996.000.000
2024-07-08HU000072945413.247,93332015.975.500.000
2024-07-01HU000072945413.230,99169215.955.100.000
2024-06-24HU000072945413.214,07172815.934.700.000
2024-06-17HU000072945413.197,17340315.914.300.000
2024-06-10HU000072945413.180,29668715.893.900.000
2024-06-03HU000072945413.163,44155315.873.600.000
2024-05-27HU000072945413.146,60797415.853.300.000
2024-05-21HU000072945413.132,19632715.835.900.000
2024-05-13HU000072945413.113,00536915.812.800.000
2024-05-06HU000072945413.096,23628915.792.600.000
2024-04-29HU000072945413.079,48865315.772.400.000
2024-04-22HU000072945413.062,76243415.752.200.000
2024-04-15HU000072945413.046,05760415.732.100.000
2024-04-08HU000072945413.029,37413715.712.000.000
2024-04-02HU000072945413.015,09100415.694.700.000
2024-03-25HU000072945412.996,07118115.671.800.000
2024-03-18HU000072945412.979,45163715.651.800.000
2024-03-11HU000072945412.962,85334615.631.700.000
2024-03-04HU000072945412.946,27628215.611.700.000
2024-02-26HU000072945412.929,72041715.591.800.000
2024-02-19HU000072945412.913,18572315.571.800.000
2024-02-12HU000072945412.896,67217415.551.900.000
2024-02-05HU000072945412.880,17974315.532.000.000
2024-01-29HU000072945412.863,70840315.512.200.000
2024-01-22HU000072945412.847,25812615.492.300.000
2024-01-15HU000072945412.830,82888615.472.500.000
2024-01-08HU000072945412.814,42065615.452.700.000
2024-01-02HU000072945412.800,37316115.435.800.000
2023-12-31HU000072945412.795,69408615.430.200.000
2023-12-27HU000072945412.786,34106515.418.900.000
2023-12-18HU000072945412.765,32175815.393.500.000
2023-12-11HU000072945412.748,99730015.373.800.000
2023-12-04HU000072945412.732,69371815.354.200.000
2023-11-27HU000072945412.716,41098515.334.600.000
2023-11-20HU000072945412.700,14907415.314.900.000
2023-11-13HU000072945412.683,90795915.295.400.000
2023-11-06HU000072945412.667,68761315.275.800.000
2023-10-30HU000072945412.651,48801115.256.300.000
2023-10-24HU000072945412.637,61912715.239.500.000
2023-10-16HU000072945412.619,15092815.217.300.000
2023-10-09HU000072945412.603,01339415.197.800.000
2023-10-02HU000072945412.586,89649815.178.400.000
2023-09-25HU000072945412.570,80021215.159.000.000
2023-09-18HU000072945412.554,72451015.139.600.000
2023-09-11HU000072945412.538,66936615.120.200.000
2023-09-04HU000072945412.522,63475415.100.900.000
2023-08-28HU000072945412.506,62064615.081.600.000
2023-08-21HU000072945412.490,62701815.062.300.000
2023-08-14HU000072945412.474,65384315.043.000.000
2023-08-07HU000072945412.458,70109515.023.800.000
2023-07-31HU000072945412.442,76874715.004.600.000
2023-07-24HU000072945412.426,85677314.985.400.000
2023-07-17HU000072945412.410,96514814.966.200.000
2023-07-10HU000072945412.395,09384614.947.100.000
2023-07-03HU000072945412.379,24284014.928.000.000
2023-06-26HU000072945412.363,41210514.908.900.000
2023-06-19HU000072945412.347,60161414.889.800.000
2023-06-12HU000072945412.331,81134114.870.800.000
2023-06-05HU000072945412.316,04126214.851.800.000
2023-05-30HU000072945412.302,54010314.835.500.000
2023-05-22HU000072945412.284,56157714.813.800.000
2023-05-15HU000072945412.268,85192114.794.800.000
2023-05-08HU000072945412.253,16235514.775.900.000
2023-05-02HU000072945412.239,73012614.759.700.000
2023-04-24HU000072945412.221,84338914.738.200.000
2023-04-17HU000072945412.206,21393814.719.300.000
2023-04-11HU000072945412.192,83317414.703.200.000
2023-04-03HU000072945412.175,01497114.681.700.000
2023-03-27HU000072945412.159,44540414.662.900.000
2023-03-20HU000072945412.143,89574814.644.200.000
2023-03-13HU000072945412.128,36597714.625.400.000
2023-03-06HU000072945412.112,85606614.606.700.000
2023-02-27HU000072945412.097,36599014.588.100.000
2023-02-20HU000072945412.081,89572214.569.400.000
2023-02-13HU000072945412.066,44523714.550.800.000
2023-02-06HU000072945412.051,01451114.532.200.000
2023-01-30HU000072945412.035,60351814.513.600.000
2023-01-23HU000072945412.020,21223314.495.000.000
2023-01-23HU000072945412.020,21223014.495.000.000
2023-01-16HU000072945412.004,84063014.476.500.000
2023-01-09HU000072945411.989,48869014.458.000.000
2023-01-02HU000072945411.974,15637014.439.500.000
2022-12-31HU000072945411.969,77931014.434.200.000
2022-12-27HU000072945411.961,03000014.423.700.000
2022-12-19HU000072945411.943,55054014.402.600.000
2022-12-12HU000072945411.928,27698014.384.200.000
2022-12-05HU000072945411.913,02294014.365.800.000
2022-12-01HU000072945411.904,31511014.355.300.000
2022-11-28HU000072945411.897,78841012.948.200.000
2022-11-23HU000072945411.886,91854012.936.400.000
2022-11-21HU000072945411.882,57337012.931.700.000
2022-11-14HU000072945411.867,37778012.915.100.000
2022-11-07HU000072945411.852,20162012.898.600.000
2022-11-03HU000072945411.843,53825012.889.200.000
2022-11-02HU000072945411.841,3734007.287.920.000
2022-10-24HU000072945411.821,9075107.275.930.000
2022-10-17HU000072945411.806,7895007.266.630.000
2022-10-10HU000072945411.791,6908307.257.340.000
2022-10-03HU000072945411.776,6114607.248.060.000
2022-09-26HU000072945411.761,5513807.238.790.000
2022-09-19HU000072945411.746,5105507.229.530.000
2022-09-12HU000072945411.731,4889607.220.290.000
2022-09-05HU000072945411.716,4865807.211.050.000
2022-08-29HU000072945411.701,5033907.201.830.000
2022-08-22HU000072945411.686,5393507.192.620.000
2022-08-15HU000072945411.671,5944607.183.420.000
2022-08-10HU000072945411.660,9312307.176.860.000
2022-08-08HU000072945411.656,6686705.075.030.000
2022-08-01HU000072945411.641,7619705.068.540.000
2022-07-25HU000072945411.626,8743365.062.060.000
2022-07-25HU000072945411.626,8743405.062.060.000
2022-07-18HU000072945411.612,0057405.055.590.000
2022-07-11HU000072945411.597,1561575.049.120.000
2022-07-04HU000072945411.582,3255655.042.670.000
2022-06-27HU000072945411.567,5139375.036.220.000
2022-06-20HU000072945411.552,7212505.029.780.000
2022-06-13HU000072945411.537,9474805.023.350.000
2022-06-07HU000072945411.525,2992865.017.840.000
2022-05-30HU000072945411.508,4565945.010.510.000
2022-05-23HU000072945411.493,7394305.004.100.000
2022-05-16HU000072945411.479,0410864.997.700.000
2022-05-09HU000072945411.464,3615404.991.310.000
2022-05-02HU000072945411.449,7007674.984.920.000
2022-04-25HU000072945411.435,0587424.978.550.000
2022-04-19HU000072945411.422,5233384.973.090.000
2022-04-11HU000072945411.405,8308404.965.830.000
2022-04-04HU000072945411.391,2449174.959.470.000
2022-03-28HU000072945411.376,6776464.953.130.000
2022-03-21HU000072945411.362,1290034.946.800.000
2022-03-16HU000072945411.351,7485094.942.280.000
2022-03-07HU000072945411.333,0875114.934.150.000
2022-02-28HU000072945411.318,5946124.927.840.000
2022-02-21HU000072945411.304,1202484.921.540.000
2022-02-14HU000072945411.289,6643944.915.250.000
2022-02-07HU000072945411.275,2270244.908.960.000
2022-01-31HU000072945411.260,8081184.902.690.000
2022-01-28HU000072945411.254,6342334.900.000.000