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: 2025-06-24

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





Raiffeisen ESG Konzervatív Vegyes Alapok Alapja E sorozat
Évesített hozam: 5,67%

dátum azonosító árfolyam* eszközérték
2025-08-22HU00007059830,8945331.540.030
2025-08-21HU00007059830,8932391.537.610
2025-08-19HU00007059830,8919981.534.380
2025-08-18HU00007059830,8948001.539.100
2025-08-15HU00007059830,8949021.539.270
2025-08-14HU00007059830,8925971.534.490
2025-08-13HU00007059830,8937391.536.380
2025-08-12HU00007059830,8932611.535.560
2025-08-11HU00007059830,8949571.538.370
2025-08-08HU00007059830,8942491.537.060

2025-08-07HU00007059830,8949401.537.730
2025-08-06HU00007059830,8962261.539.940
2025-08-05HU00007059830,8924321.533.420
2025-08-04HU00007059830,8965021.540.410
2025-08-01HU00007059830,8968571.541.020
2025-07-31HU00007059830,8963631.540.070
2025-07-30HU00007059830,8949731.539.440
2025-07-29HU00007059830,8921091.566.850
2025-07-28HU00007059830,8914681.565.730
2025-07-25HU00007059830,8934361.574.920
2025-07-24HU00007059830,8924771.572.380
2025-07-23HU00007059830,8923781.571.960
2025-07-22HU00007059830,8909171.569.310
2025-07-21HU00007059830,8925111.572.120
2025-07-18HU00007059830,8908871.570.540
2025-07-17HU00007059830,8897651.567.840
2025-07-16HU00007059830,8881291.564.960
2025-07-15HU00007059830,8878811.564.230
2025-07-14HU00007059830,8901041.567.550
2025-07-11HU00007059830,8901961.567.640
2025-07-10HU00007059830,8890111.565.350
2025-07-09HU00007059830,8895111.615.440
2025-07-08HU00007059830,8906991.617.200
2025-07-07HU00007059830,8905391.616.790
2025-07-04HU00007059830,8876511.611.550
2025-07-03HU00007059830,8879281.612.050
2025-07-02HU00007059830,8879811.612.150
2025-07-01HU00007059830,8874551.611.100
2025-06-30HU00007059830,8871421.610.530
2025-06-27HU00007059830,8877371.611.610
2025-06-26HU00007059830,8886271.613.100
2025-06-25HU00007059830,8877861.611.580
2025-06-24HU00007059830,8864131.608.230