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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: 2024-12-12

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Raiffeisen ESG Rövid Kötvény Alapok Alapja E sorozat
Évesített hozam: 0,53%

dátum azonosító árfolyam* eszközérték
2025-03-11HU00007313691,0493154.359.910
2025-03-10HU00007313691,0490534.343.300
2025-03-07HU00007313691,0493624.383.050
2025-03-06HU00007313691,0512404.388.910
2025-03-05HU00007313691,0509804.428.170
2025-03-04HU00007313691,0510704.428.050
2025-03-03HU00007313691,0509914.429.090
2025-02-28HU00007313691,0507324.418.670
2025-02-27HU00007313691,0505714.417.990
2025-02-26HU00007313691,0503874.410.760

2025-02-25HU00007313691,0500644.409.410
2025-02-24HU00007313691,0495674.408.320
2025-02-21HU00007313691,0493864.408.050
2025-02-20HU00007313691,0497284.371.400
2025-02-19HU00007313691,0496824.376.440
2025-02-18HU00007313691,0497834.376.860
2025-02-17HU00007313691,0498664.376.230
2025-02-14HU00007313691,0492684.392.540
2025-02-13HU00007313691,0496634.394.170
2025-02-12HU00007313691,0500854.399.520
2025-02-11HU00007313691,0496694.397.770
2025-02-10HU00007313691,0495734.396.830
2025-02-07HU00007313691,0495124.411.320
2025-02-06HU00007313691,0494224.409.720
2025-02-05HU00007313691,0493504.560.290
2025-02-04HU00007313691,0486994.557.460
2025-02-03HU00007313691,0476154.551.900
2025-01-31HU00007313691,0469924.590.600
2025-01-30HU00007313691,0468984.589.680
2025-01-29HU00007313691,0468854.589.630
2025-01-28HU00007313691,0466484.588.490
2025-01-27HU00007313691,0468544.589.390
2025-01-24HU00007313691,0469554.589.840
2025-01-23HU00007313691,0468704.589.460
2025-01-22HU00007313691,0467424.588.900
2025-01-21HU00007313691,0465104.587.780
2025-01-20HU00007313691,0462164.586.500
2025-01-17HU00007313691,0459504.584.540
2025-01-16HU00007313691,0453174.580.780
2025-01-15HU00007313691,0452644.580.540
2025-01-14HU00007313691,0451954.591.410
2025-01-13HU00007313691,0457184.593.610
2025-01-10HU00007313691,0458614.627.870
2025-01-09HU00007313691,0458944.627.470
2025-01-08HU00007313691,0459804.626.750
2025-01-07HU00007313691,0469304.630.830
2025-01-06HU00007313691,0469434.630.790
2025-01-03HU00007313691,0470824.609.770
2025-01-02HU00007313691,0471724.609.970
2024-12-31HU00007313691,0468814.611.040
2024-12-30HU00007313691,0467894.566.880
2024-12-23HU00007313691,0466724.566.370
2024-12-20HU00007313691,0469454.567.560
2024-12-19HU00007313691,0474844.565.820
2024-12-18HU00007313691,0475354.531.630
2024-12-17HU00007313691,0474384.530.220
2024-12-16HU00007313691,0477724.521.620
2024-12-13HU00007313691,0481984.519.470
2024-12-12HU00007313691,0479484.571.520