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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: 2022-04-04

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Generali Gold Közép-kelet-európai Részvény Alap A sorozat EUR,
Évesített hozam: 14,98%

dátum azonosító árfolyam* eszközérték
2024-03-27HU00007068095,2655447.825.160.000
2024-03-26HU00007068095,2540027.806.900.000
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2024-03-22HU00007068095,2420877.789.010.000
2024-03-21HU00007068095,2690677.830.350.000
2024-03-20HU00007068095,2096417.741.520.000
2024-03-19HU00007068095,2034947.732.390.000
2024-03-18HU00007068095,1949497.719.690.000
2024-03-14HU00007068095,2443347.795.530.000
2024-03-13HU00007068095,2655577.827.080.000

2024-03-12HU00007068095,2768767.843.900.000
2024-03-11HU00007068095,1964827.723.910.000
2024-03-08HU00007068095,1807587.700.540.000
2024-03-07HU00007068095,1728777.688.830.000
2024-03-06HU00007068095,1992657.727.850.000
2024-03-05HU00007068095,1966837.722.310.000
2024-03-04HU00007068095,2068947.737.490.000
2024-03-01HU00007068095,2127537.746.190.000
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2024-02-28HU00007068095,1910097.713.880.000
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2024-02-26HU00007068095,2350717.777.850.000
2024-02-23HU00007068095,2445667.791.280.000
2024-02-22HU00007068095,2118677.725.750.000
2024-02-21HU00007068095,1883537.689.440.000
2024-02-20HU00007068095,1865747.686.800.000
2024-02-19HU00007068095,1529147.633.660.000
2024-02-16HU00007068095,1464347.624.060.000
2024-02-15HU00007068095,1143487.576.040.000
2024-02-14HU00007068095,1037587.560.350.000
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2024-02-08HU00007068095,0667527.502.560.000
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2024-02-02HU00007068095,1001577.592.580.000
2024-02-01HU00007068095,0649177.540.120.000
2024-01-31HU00007068095,0067637.453.540.000
2024-01-30HU00007068094,9821977.416.970.000
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2024-01-08HU00007068094,8948817.287.490.000
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2024-01-03HU00007068094,8861817.294.210.000
2024-01-02HU00007068094,9298547.359.400.000
2023-12-29HU00007068094,9596037.401.660.000
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2023-12-27HU00007068094,9703417.416.890.000
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2023-12-12HU00007068094,8613827.254.290.000
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2023-12-06HU00007068094,8442007.232.710.000
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2023-11-30HU00007068094,7284557.090.900.000
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2023-11-27HU00007068094,6743237.011.470.000
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2023-10-24HU00007068094,4833676.769.020.000
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2023-10-16HU00007068094,5591916.884.770.000
2023-10-13HU00007068094,4223976.678.200.000
2023-10-12HU00007068094,4174776.670.270.000
2023-10-11HU00007068094,4367366.699.350.000
2023-10-10HU00007068094,4021816.647.180.000
2023-10-09HU00007068094,3238966.528.970.000
2023-10-06HU00007068094,2890596.476.360.000
2023-10-05HU00007068094,2885216.475.550.000
2023-10-04HU00007068094,3087436.506.090.000
2023-10-03HU00007068094,3109176.509.370.000
2023-10-02HU00007068094,3245466.559.740.000
2023-09-29HU00007068094,3830476.648.480.000
2023-09-28HU00007068094,3544486.604.950.000
2023-09-27HU00007068094,3263786.562.380.000
2023-09-26HU00007068094,3497246.597.790.000
2023-09-25HU00007068094,3564806.608.030.000
2023-09-22HU00007068094,3494006.597.300.000
2023-09-21HU00007068094,3380906.580.140.000
2023-09-20HU00007068094,3662406.622.840.000
2023-09-19HU00007068094,3492866.597.120.000
2023-09-18HU00007068094,3553636.608.390.000
2023-09-15HU00007068094,3946166.669.820.000
2023-09-14HU00007068094,3946366.451.850.000
2023-09-13HU00007068094,3514706.388.430.000
2023-09-12HU00007068094,3409486.373.500.000
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2023-09-05HU00007068094,3874076.444.720.000
2023-09-04HU00007068094,3955346.456.880.000
2023-09-01HU00007068094,4246346.499.620.000
2023-08-31HU00007068094,3854616.441.590.000
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2023-08-29HU00007068094,4336616.512.390.000
2023-08-28HU00007068094,4255946.500.540.000
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2023-08-24HU00007068094,4003826.463.500.000
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2023-08-21HU00007068094,3744956.424.990.000
2023-08-18HU00007068094,3646366.410.510.000
2023-08-17HU00007068094,4211106.493.460.000
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2023-08-15HU00007068094,4723906.570.370.000
2023-08-14HU00007068094,4566326.547.220.000
2023-08-11HU00007068094,4788006.579.790.000
2023-08-10HU00007068094,5103746.626.170.000
2023-08-09HU00007068094,4828966.585.810.000
2023-08-08HU00007068094,4849186.617.510.000
2023-08-07HU00007068094,5465736.708.480.000
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2023-08-03HU00007068094,5399676.698.730.000
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2023-07-31HU00007068094,5374786.694.080.000
2023-07-28HU00007068094,5090266.651.320.000
2023-07-27HU00007068094,4596476.578.480.000
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2023-07-24HU00007068094,4102216.505.080.000
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2023-07-13HU00007068094,3163776.370.110.000
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