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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: 2021-03-28

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Erste Feltörekvő Európa Részvény Alapok Alapja
Évesített hozam: 47,23%

dátum azonosító árfolyam* eszközérték
2021-10-20HU00007015372,9809001.020.470.000
2021-10-19HU00007015372,9810001.020.500.000
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2021-10-08HU00007015372,935900992.342.000
2021-10-07HU00007015372,907900982.874.000

2021-10-06HU00007015372,854700966.342.000
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2021-10-04HU00007015372,805900948.937.000
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2021-09-30HU00007015372,805400953.363.000
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2021-08-31HU00007015372,642800892.110.000
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2021-05-10HU00007015372,401500910.562.000
2021-05-07HU00007015372,398700909.499.000
2021-05-06HU00007015372,378700904.131.000
2021-05-05HU00007015372,362900898.126.000
2021-05-04HU00007015372,330200885.705.000
2021-05-03HU00007015372,314300879.831.000
2021-04-30HU00007015372,307300877.172.000
2021-04-29HU00007015372,326200883.866.000
2021-04-28HU00007015372,329100884.922.000
2021-04-27HU00007015372,340500890.577.000
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2021-04-21HU00007015372,301900883.878.000
2021-04-20HU00007015372,293800883.582.000
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2021-04-16HU00007015372,350500909.315.000
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2021-04-12HU00007015372,271500881.597.000
2021-04-09HU00007015372,250600874.044.000
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2021-04-06HU00007015372,291800889.279.000
2021-04-01HU00007015372,334400905.733.000
2021-03-31HU00007015372,353600913.403.000
2021-03-30HU00007015372,352200915.870.000
2021-03-29HU00007015372,355900917.351.000