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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: 2021-09-18

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Raiffeisen Ingatlan Alap C sorozat
Évesített hozam: 22,57%

dátum azonosító árfolyam* eszközérték
2021-12-01HU00007078802,8625159.504.570.000
2021-11-30HU00007078802,8743669.543.920.000
2021-11-29HU00007078802,8679889.522.740.000
2021-11-26HU00007078802,8597599.495.420.000
2021-11-25HU00007078802,8701709.529.990.000
2021-11-24HU00007078802,8900069.595.850.000
2021-11-23HU00007078802,8798529.562.130.000
2021-11-22HU00007078802,8475459.454.860.000
2021-11-19HU00007078802,8375109.421.540.000
2021-11-18HU00007078802,8479389.456.160.000

2021-11-17HU00007078802,8501999.463.670.000
2021-11-16HU00007078802,8591819.493.500.000
2021-11-15HU00007078802,8480679.456.590.000
2021-11-12HU00007078802,8453379.447.530.000
2021-11-11HU00007078802,8210479.366.880.000
2021-11-10HU00007078802,8254859.381.610.000
2021-11-09HU00007078802,8096299.328.970.000
2021-11-08HU00007078802,8094959.328.520.000
2021-11-05HU00007078802,8044859.311.890.000
2021-11-04HU00007078802,7967819.286.310.000
2021-11-03HU00007078802,8039789.310.200.000
2021-11-02HU00007078802,8074759.321.820.000
2021-10-29HU00007078802,8332439.407.370.000
2021-10-28HU00007078802,8430099.439.800.000
2021-10-27HU00007078802,8427509.438.940.000
2021-10-26HU00007078802,8363819.417.790.000
2021-10-25HU00007078802,8280029.389.970.000
2021-10-22HU00007078802,8166619.352.320.000
2021-10-21HU00007078802,8245909.378.640.000
2021-10-20HU00007078802,8050579.313.780.000
2021-10-19HU00007078802,8107329.332.630.000
2021-10-18HU00007078802,8031279.307.380.000
2021-10-15HU00007078802,8023719.304.870.000
2021-10-14HU00007078802,8060309.317.020.000
2021-10-13HU00007078802,8029359.306.740.000
2021-10-12HU00007078802,8138489.342.980.000
2021-10-11HU00007078802,7996189.295.730.000
2021-10-08HU00007078802,7915619.268.980.000
2021-10-07HU00007078802,8009169.300.040.000
2021-10-06HU00007078802,7818809.236.830.000
2021-10-05HU00007078802,7757809.216.580.000
2021-10-04HU00007078802,7956359.282.500.000
2021-10-01HU00007078802,8039039.309.960.000
2021-09-30HU00007078802,7965499.285.540.000
2021-09-29HU00007078802,7958169.283.100.000
2021-09-28HU00007078802,7844139.245.240.000
2021-09-27HU00007078802,7772089.221.320.000
2021-09-24HU00007078802,7679349.190.520.000
2021-09-23HU00007078802,7604299.165.600.000
2021-09-22HU00007078802,7508409.133.770.000
2021-09-21HU00007078802,7563139.151.940.000
2021-09-20HU00007078802,7405089.099.460.000