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 Nemzetközi Részvény Alapok Alapja B sorozat
Évesített hozam: 13,93%

dátum azonosító árfolyam* eszközérték
2025-08-22HU00007088706,181704630.877.000
2025-08-21HU00007088706,155751628.169.000
2025-08-19HU00007088706,163164628.925.000
2025-08-18HU00007088706,166896629.156.000
2025-08-15HU00007088706,168561629.226.000
2025-08-14HU00007088706,151181627.453.000
2025-08-13HU00007088706,144953626.768.000
2025-08-12HU00007088706,127181615.455.000
2025-08-11HU00007088706,145482627.854.000
2025-08-08HU00007088706,150615628.378.000

2025-08-07HU00007088706,155571630.145.000
2025-08-06HU00007088706,219662636.576.000
2025-08-05HU00007088706,114976625.861.000
2025-08-04HU00007088706,261816640.890.000
2025-08-01HU00007088706,296228644.352.000
2025-07-31HU00007088706,272040641.817.000
2025-07-30HU00007088706,264630640.968.000
2025-07-29HU00007088706,198897634.243.000
2025-07-28HU00007088706,158384630.068.000
2025-07-25HU00007088706,168521631.105.000
2025-07-24HU00007088706,134973627.673.000
2025-07-23HU00007088706,149728629.102.000
2025-07-22HU00007088706,163358630.938.000
2025-07-21HU00007088706,191775633.847.000
2025-07-18HU00007088706,155145630.037.000
2025-07-17HU00007088706,152940629.214.000
2025-07-16HU00007088706,142724627.919.000
2025-07-15HU00007088706,132842626.859.000
2025-07-14HU00007088706,170754631.007.000
2025-07-11HU00007088706,150040628.889.000
2025-07-10HU00007088706,147445628.623.000
2025-07-09HU00007088706,121827625.904.000
2025-07-08HU00007088706,138634627.572.000
2025-07-07HU00007088706,135838627.236.000
2025-07-04HU00007088706,098139623.352.000
2025-07-03HU00007088706,065963620.564.000
2025-07-02HU00007088706,090179622.672.000
2025-07-01HU00007088706,076259621.189.000
2025-06-30HU00007088706,040912622.627.000
2025-06-27HU00007088706,067582625.375.000
2025-06-26HU00007088706,086547627.300.000
2025-06-25HU00007088706,054066617.402.000
2025-06-24HU00007088706,045587616.538.000