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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: 2018-04-23

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Amundi Magyar Indexkövető Részvény Alap I sorozat
Évesített hozam: 10,73%

dátum azonosító árfolyam* eszközérték
2024-03-26HU00007098117,3566161.718.540.000
2024-03-25HU00007098117,3683231.721.280.000
2024-03-22HU00007098117,3855961.725.310.000
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2024-03-20HU00007098117,4715991.745.400.000
2024-03-19HU00007098117,4668151.744.290.000
2024-03-18HU00007098117,4107691.731.190.000
2024-03-14HU00007098117,3610271.719.570.000
2024-03-13HU00007098117,4280871.735.240.000
2024-03-12HU00007098117,5259611.758.100.000

2024-03-11HU00007098117,4294681.735.560.000
2024-03-08HU00007098117,4864931.748.880.000
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2024-03-04HU00007098117,5118811.754.810.000
2024-03-01HU00007098117,4922301.766.280.000
2024-02-29HU00007098117,4658201.760.050.000
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2024-02-20HU00007098117,4688131.760.760.000
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2024-02-16HU00007098117,4488531.756.050.000
2024-02-15HU00007098117,4362151.753.080.000
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2024-02-13HU00007098117,3363401.729.530.000
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2024-02-01HU00007098117,4026401.745.160.000
2024-01-31HU00007098117,2576071.710.970.000
2024-01-30HU00007098117,1624371.688.530.000
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2024-01-15HU00007098117,2326581.705.090.000
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2024-01-11HU00007098117,1504391.685.700.000
2024-01-10HU00007098117,1204951.678.640.000
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2024-01-08HU00007098116,9568911.640.080.000
2024-01-05HU00007098116,9671191.642.490.000
2024-01-04HU00007098116,8967381.625.890.000
2024-01-03HU00007098116,8796761.621.870.000
2024-01-02HU00007098116,8879731.623.830.000
2023-12-29HU00007098116,8750661.620.790.000
2023-12-28HU00007098116,8880541.623.850.000
2023-12-27HU00007098116,8373361.611.890.000
2023-12-22HU00007098116,8379181.656.850.000
2023-12-21HU00007098116,8657811.663.600.000
2023-12-20HU00007098116,9237391.677.640.000
2023-12-19HU00007098116,9008511.672.090.000
2023-12-18HU00007098116,8630181.662.930.000
2023-12-15HU00007098116,8444271.658.420.000
2023-12-14HU00007098116,8580911.661.730.000
2023-12-13HU00007098116,6773941.617.950.000
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2023-12-08HU00007098116,6529501.612.030.000
2023-12-07HU00007098116,6244051.605.110.000
2023-12-06HU00007098116,6265301.605.630.000
2023-12-05HU00007098116,6247461.605.190.000
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2023-11-29HU00007098116,5015611.575.350.000
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2023-11-27HU00007098116,3363681.535.320.000
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2023-11-23HU00007098116,4064901.552.310.000
2023-11-22HU00007098116,4426061.561.060.000
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2023-10-26HU00007098116,4179031.555.070.000
2023-10-25HU00007098116,4534271.563.680.000
2023-10-24HU00007098116,3530451.539.360.000
2023-10-20HU00007098116,3893271.548.150.000
2023-10-19HU00007098116,3958831.549.740.000
2023-10-18HU00007098116,4730381.568.430.000
2023-10-17HU00007098116,4696741.567.620.000
2023-10-16HU00007098116,3889791.548.070.000
2023-10-13HU00007098116,3440361.537.180.000
2023-10-12HU00007098116,3723691.544.040.000
2023-10-11HU00007098116,3771681.545.200.000
2023-10-10HU00007098116,3467641.537.840.000
2023-10-09HU00007098116,2450881.513.200.000
2023-10-06HU00007098116,2502141.514.440.000
2023-10-05HU00007098116,2955531.525.430.000
2023-10-04HU00007098116,3494271.538.480.000
2023-10-03HU00007098116,3492311.538.440.000
2023-10-02HU00007098116,3136191.529.810.000
2023-09-29HU00007098116,3363801.535.320.000
2023-09-28HU00007098116,2831031.522.410.000
2023-09-27HU00007098116,3508851.538.840.000
2023-09-26HU00007098116,3064091.528.060.000
2023-09-25HU00007098116,2817041.522.070.000
2023-09-22HU00007098116,2842841.522.700.000
2023-09-21HU00007098116,3086501.528.600.000
2023-09-20HU00007098116,5111061.577.660.000
2023-09-19HU00007098116,5501591.587.120.000
2023-09-18HU00007098116,5471991.586.400.000
2023-09-15HU00007098116,5874541.596.160.000
2023-09-14HU00007098116,5484921.586.720.000
2023-09-13HU00007098116,4914981.572.910.000
2023-09-12HU00007098116,5056371.576.330.000
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2023-09-08HU00007098116,4533281.563.660.000
2023-09-07HU00007098116,4235691.556.450.000
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2023-09-04HU00007098116,3181341.530.900.000
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2023-08-31HU00007098116,3297971.533.730.000
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2023-08-02HU00007098116,0990501.477.820.000
2023-08-01HU00007098116,1130181.481.200.000
2023-07-31HU00007098116,0613381.468.680.000
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