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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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Generali Arany Oroszlán ESG Nemzetközi Részvény Alap D sorozat
Évesített hozam: 27,34%

dátum azonosító árfolyam* eszközérték
2024-12-03HU00007338111,06453694.931.400
2024-12-02HU00007338111,05769393.416.700
2024-11-29HU00007338111,04617392.399.200
2024-11-28HU00007338111,04091591.934.800
2024-11-27HU00007338111,02740790.741.800
2024-11-26HU00007338111,03271890.195.900
2024-11-25HU00007338111,04151887.821.300
2024-11-22HU00007338111,03725087.461.300
2024-11-21HU00007338111,03106286.939.600
2024-11-20HU00007338111,02268186.232.900

2024-11-19HU00007338111,02038384.376.800
2024-11-18HU00007338111,03361285.470.700
2024-11-15HU00007338111,02531184.784.300
2024-11-14HU00007338111,03687885.740.800
2024-11-13HU00007338111,02158684.476.200
2024-11-12HU00007338111,02507084.764.400
2024-11-11HU00007338111,04110086.089.900
2024-11-08HU00007338111,02664284.894.400
2024-11-07HU00007338111,03814585.845.600
2024-11-06HU00007338111,03603285.044.000
2024-11-05HU00007338111,045375151.025.000
2024-11-04HU00007338111,038761150.070.000
2024-10-31HU00007338111,036694149.055.000
2024-10-30HU00007338111,041869149.799.000
2024-10-29HU00007338111,049248150.860.000
2024-10-28HU00007338111,051353151.163.000
2024-10-25HU00007338111,046168150.417.000
2024-10-24HU00007338111,040993149.673.000
2024-10-22HU00007338111,037509146.494.000
2024-10-21HU00007338111,039434146.766.000
2024-10-18HU00007338111,044173147.435.000
2024-10-17HU00007338111,040571146.926.000
2024-10-16HU00007338111,031897145.284.000
2024-10-15HU00007338111,038281146.183.000
2024-10-14HU00007338111,056003148.678.000
2024-10-11HU00007338111,049905147.819.000
2024-10-10HU00007338111,042052146.714.000
2024-10-09HU00007338111,043757143.783.000
2024-10-08HU00007338111,039899143.251.000
2024-10-07HU00007338111,045178143.979.000
2024-10-04HU00007338111,043543143.753.000
2024-10-03HU00007338111,034123142.456.000
2024-10-02HU00007338111,038740143.092.000
2024-10-01HU00007338111,034051141.849.000
2024-09-30HU00007338111,043087143.088.000
2024-09-27HU00007338111,052009144.312.000
2024-09-26HU00007338111,042570143.017.000
2024-09-25HU00007338111,018263139.683.000
2024-09-24HU00007338111,020774140.027.000
2024-09-23HU00007338111,010043138.555.000
2024-09-20HU00007338111,007530138.211.000
2024-09-19HU00007338111,021521140.130.000
2024-09-18HU00007338111,002178137.477.000
2024-09-17HU00007338111,005855137.085.000
2024-09-16HU00007338110,999577136.230.000
2024-09-13HU00007338111,006097136.897.000
2024-09-12HU00007338111,003784136.583.000
2024-09-11HU00007338110,994759136.264.000
2024-09-10HU00007338110,992939136.015.000
2024-09-09HU00007338110,993573136.102.000
2024-09-06HU00007338110,985572133.919.000
2024-09-05HU00007338110,998000135.608.000