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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: 2023-10-01

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OTP Orosz Részvény Alap A sorozat
Évesített hozam: 6,25%

dátum azonosító árfolyam* eszközérték
2024-04-25HU00007090190,031386365.853.000
2024-04-24HU00007090190,031377365.749.000
2024-04-23HU00007090190,031373365.694.000
2024-04-22HU00007090190,031371365.663.000
2024-04-19HU00007090190,031362365.556.000
2024-04-18HU00007090190,031356365.907.000
2024-04-17HU00007090190,031356365.914.000
2024-04-16HU00007090190,031357365.923.000
2024-04-15HU00007090190,031350365.339.000
2024-04-12HU00007090190,031333365.141.000

2024-04-11HU00007090190,031325365.220.000
2024-04-10HU00007090190,031323365.237.000
2024-04-09HU00007090190,031317365.146.000
2024-04-08HU00007090190,031314365.112.000
2024-04-05HU00007090190,031302364.956.000
2024-04-04HU00007090190,031299364.954.000
2024-04-03HU00007090190,031298365.052.000
2024-04-02HU00007090190,031296365.027.000
2024-03-28HU00007090190,031280364.469.000
2024-03-27HU00007090190,031273364.017.000
2024-03-26HU00007090190,031270361.664.000
2024-03-25HU00007090190,031269361.642.000
2024-03-22HU00007090190,031257360.768.000
2024-03-21HU00007090190,031248360.404.000
2024-03-20HU00007090190,031246359.858.000
2024-03-19HU00007090190,031241359.477.000
2024-03-18HU00007090190,031236359.232.000
2024-03-14HU00007090190,031219356.047.000
2024-03-13HU00007090190,031221355.990.000
2024-03-12HU00007090190,031214355.171.000
2024-03-11HU00007090190,031210354.448.000
2024-03-08HU00007090190,031197354.321.000
2024-03-07HU00007090190,031193353.905.000
2024-03-06HU00007090190,031189352.325.000
2024-03-05HU00007090190,031189352.107.000
2024-03-04HU00007090190,031181351.713.000
2024-03-01HU00007090190,031168350.819.000
2024-02-29HU00007090190,031165349.428.000
2024-02-28HU00007090190,031159349.318.000
2024-02-27HU00007090190,031152347.612.000
2024-02-26HU00007090190,031154346.017.000
2024-02-23HU00007090190,031130344.584.000
2024-02-22HU00007090190,031122344.164.000
2024-02-21HU00007090190,031119342.838.000
2024-02-20HU00007090190,031114343.230.000
2024-02-19HU00007090190,031109343.076.000
2024-02-16HU00007090190,031096342.609.000
2024-02-15HU00007090190,031092342.366.000
2024-02-14HU00007090190,031086342.189.000
2024-02-13HU00007090190,031079341.315.000
2024-02-12HU00007090190,031076340.247.000
2024-02-09HU00007090190,031067339.889.000
2024-02-08HU00007090190,031059338.139.000
2024-02-07HU00007090190,031054338.019.000
2024-02-06HU00007090190,031049337.821.000
2024-02-05HU00007090190,031042337.605.000
2024-02-02HU00007090190,031029337.206.000
2024-02-01HU00007090190,031027336.551.000
2024-01-31HU00007090190,031025336.550.000
2024-01-30HU00007090190,031028335.593.000
2024-01-29HU00007090190,031025335.297.000
2024-01-26HU00007090190,031016334.773.000
2024-01-25HU00007090190,031010334.711.000
2024-01-24HU00007090190,030997334.340.000
2024-01-23HU00007090190,030989333.640.000
2024-01-22HU00007090190,030980334.949.000
2024-01-19HU00007090190,030954334.632.000
2024-01-18HU00007090190,030948334.365.000
2024-01-17HU00007090190,030936334.004.000
2024-01-16HU00007090190,030953334.214.000
2024-01-15HU00007090190,030949333.042.000
2024-01-12HU00007090190,030935331.211.000
2024-01-11HU00007090190,030915330.412.000
2024-01-10HU00007090190,030910330.076.000
2024-01-09HU00007090190,030904329.851.000
2024-01-08HU00007090190,030900328.969.000
2024-01-05HU00007090190,030887327.844.000
2024-01-04HU00007090190,030890335.705.000
2024-01-03HU00007090190,030894335.567.000
2024-01-02HU00007090190,030896335.572.000
2023-12-29HU00007090190,030891332.614.000
2023-12-28HU00007090190,030884331.327.000
2023-12-27HU00007090190,030910330.963.000
2023-12-22HU00007090190,030894330.070.000
2023-12-21HU00007090190,030891328.951.000
2023-12-20HU00007090190,030925328.726.000
2023-12-19HU00007090190,030830327.610.000
2023-12-18HU00007090190,030793325.791.000
2023-12-15HU00007090190,030777325.093.000
2023-12-14HU00007090190,030763324.039.000
2023-12-13HU00007090190,030740322.688.000
2023-12-12HU00007090190,030735321.391.000
2023-12-11HU00007090190,030714320.573.000
2023-12-08HU00007090190,030701319.589.000
2023-12-07HU00007090190,030694316.700.000
2023-12-06HU00007090190,030679314.991.000
2023-12-05HU00007090190,030670312.997.000
2023-12-04HU00007090190,030659310.549.000
2023-12-01HU00007090190,030640293.035.000
2023-11-30HU00007090190,030638292.880.000
2023-11-29HU00007090190,030635292.344.000
2023-11-28HU00007090190,030616294.010.000
2023-11-27HU00007090190,030602293.880.000
2023-11-24HU00007090190,030581293.426.000
2023-11-23HU00007090190,030587293.375.000
2023-11-22HU00007090190,030583292.378.000
2023-11-21HU00007090190,030575291.869.000
2023-11-20HU00007090190,030568289.683.000
2023-11-17HU00007090190,030551289.109.000
2023-11-16HU00007090190,030546287.661.000
2023-11-15HU00007090190,030541286.664.000
2023-11-14HU00007090190,030537284.183.000
2023-11-13HU00007090190,030528283.770.000
2023-11-10HU00007090190,030511283.110.000
2023-11-09HU00007090190,030506282.216.000
2023-11-08HU00007090190,030500282.063.000
2023-11-07HU00007090190,030496281.648.000
2023-11-06HU00007090190,030491281.409.000
2023-11-03HU00007090190,030476269.393.000
2023-11-02HU00007090190,030469269.239.000
2023-10-31HU00007090190,030463271.187.000
2023-10-30HU00007090190,030463270.950.000
2023-10-27HU00007090190,030449270.686.000
2023-10-26HU00007090190,030444270.642.000
2023-10-25HU00007090190,030439268.491.000
2023-10-24HU00007090190,030433268.062.000
2023-10-20HU00007090190,030436267.888.000
2023-10-19HU00007090190,030433267.046.000
2023-10-18HU00007090190,030427266.365.000
2023-10-17HU00007090190,030421266.089.000
2023-10-16HU00007090190,030402265.521.000
2023-10-13HU00007090190,030387264.899.000
2023-10-12HU00007090190,030369264.611.000
2023-10-11HU00007090190,030365263.340.000
2023-10-10HU00007090190,030359262.461.000
2023-10-09HU00007090190,030356262.204.000
2023-10-06HU00007090190,030337253.246.000
2023-10-05HU00007090190,030332252.891.000
2023-10-04HU00007090190,030327252.777.000
2023-10-03HU00007090190,030321251.724.000
2023-10-02HU00007090190,030316251.326.000