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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: 2023-11-24

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Raiffeisen ESG Konzervatív Vegyes Alapok Alapja U sorozat
Évesített hozam: 3,98%

dátum azonosító árfolyam* eszközérték
2024-11-22HU00007305361,164349195.998
2024-11-21HU00007305361,168066196.624
2024-11-20HU00007305361,166734196.400
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2024-11-18HU00007305361,171723189.272
2024-11-15HU00007305361,165945188.339
2024-11-14HU00007305361,178256190.327
2024-11-13HU00007305361,179279190.493
2024-11-12HU00007305361,180332190.663
2024-11-11HU00007305361,187077191.232

2024-11-08HU00007305361,183622190.676
2024-11-07HU00007305361,176476189.524
2024-11-06HU00007305361,191085191.878
2024-11-05HU00007305361,192348192.081
2024-11-04HU00007305361,192332192.079
2024-10-31HU00007305361,194447192.420
2024-10-30HU00007305361,192856192.163
2024-10-29HU00007305361,191503191.945
2024-10-28HU00007305361,194671192.356
2024-10-25HU00007305361,191944138.676
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2024-10-22HU00007305361,203087139.972
2024-10-21HU00007305361,200110139.626
2024-10-18HU00007305361,200073132.622
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2024-10-15HU00007305361,201934123.859
2024-10-14HU00007305361,203748124.046
2024-10-11HU00007305361,201849117.869
2024-10-10HU00007305361,203182118.000
2024-10-09HU00007305361,204641118.143
2024-10-08HU00007305361,204616118.140
2024-10-07HU00007305361,211877118.852
2024-10-04HU00007305361,215191119.177
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2024-09-24HU00007305361,212779112.941
2024-09-23HU00007305361,222478113.845
2024-09-20HU00007305361,218396113.464
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2024-09-09HU00007305361,208696110.982
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2024-09-02HU00007305361,205651110.703
2024-08-30HU00007305361,205072110.650
2024-08-29HU00007305361,210300111.130
2024-08-28HU00007305361,213317111.407
2024-08-27HU00007305361,215940111.648
2024-08-26HU00007305361,207856110.905
2024-08-23HU00007305361,212707111.351
2024-08-22HU00007305361,208618110.975
2024-08-21HU00007305361,191833109.037
2024-08-16HU00007305361,194740109.303
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2024-08-14HU00007305361,181262108.070
2024-08-13HU00007305361,181635108.104
2024-08-12HU00007305361,179244107.886
2024-08-09HU00007305361,177170107.696
2024-08-08HU00007305361,176874107.669
2024-08-07HU00007305361,174873107.486
2024-08-06HU00007305361,186768108.574
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2024-08-02HU00007305361,172977107.312
2024-08-01HU00007305361,172290107.249
2024-07-31HU00007305361,173058107.320
2024-07-30HU00007305361,170667107.101
2024-07-29HU00007305361,170069107.046
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2024-07-19HU00007305361,180201107.973
2024-07-18HU00007305361,185341108.046
2024-07-17HU00007305361,177711110.642
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2024-07-15HU00007305361,175807110.464
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2024-07-08HU00007305361,162300109.195
2024-07-05HU00007305361,160112108.989
2024-07-04HU00007305361,153276108.347
2024-07-03HU00007305361,148356107.885
2024-07-02HU00007305361,156619108.661
2024-07-01HU00007305361,151021108.135
2024-06-28HU00007305361,150432108.080
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2024-05-28HU00007305361,157285107.481
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2024-05-24HU00007305361,159326102.692
2024-05-23HU00007305361,160927102.834
2024-05-22HU00007305361,162580102.980
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2024-05-17HU00007305361,166087102.893
2024-05-16HU00007305361,154911101.907
2024-05-15HU00007305361,150704101.536
2024-05-14HU00007305361,151416101.599
2024-05-13HU00007305361,150291101.499
2024-05-10HU00007305361,145408101.069
2024-05-09HU00007305361,147068101.215
2024-05-08HU00007305361,145732101.097
2024-05-07HU00007305361,143403100.892
2024-05-06HU00007305361,137109100.336
2024-05-03HU00007305361,13014499.722
2024-05-02HU00007305361,135943100.233
2024-04-30HU00007305361,133788100.043
2024-04-29HU00007305361,13200699.886
2024-04-26HU00007305361,133964100.059
2024-04-25HU00007305361,13189499.876
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2024-04-23HU00007305361,12393899.174
2024-04-22HU00007305361,12486099.255
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2024-04-09HU00007305361,161990210.583
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2023-11-27HU00007305361,11521874.957
2023-11-24HU00007305361,11990175.272