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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: 2019-05-18

1 hónap |  2 hónap |  3 hónap |  6 hónap |  12 hónap |  24 hónap |  36 hónap |  48 hónap |  60 hónap





AEGON IstanBull Részvény Befektetési Alap T sorozat
Évesített hozam: 45,22%

dátum azonosító árfolyam* eszközérték
2022-06-20HU00007101733,74096946.115
2022-06-17HU00007101733,72665645.939
2022-06-16HU00007101733,65242745.024
2022-06-15HU00007101733,72580945.928
2022-06-14HU00007101733,65164545.014
2022-06-13HU00007101733,70217745.637
2022-06-10HU00007101733,75353346.270
2022-06-09HU00007101733,81600247.040
2022-06-08HU00007101733,77062146.480
2022-06-07HU00007101733,93071748.454

2022-06-03HU00007101733,85868647.566
2022-06-02HU00007101733,87472547.764
2022-06-01HU00007101733,83619847.289
2022-05-31HU00007101733,80742546.934
2022-05-30HU00007101733,77415846.524
2022-05-27HU00007101733,63936244.862
2022-05-26HU00007101733,65393345.042
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2022-05-24HU00007101733,54521743.702
2022-05-23HU00007101733,55541943.828
2022-05-20HU00007101733,54121243.653
2022-05-18HU00007101733,57065044.015
2022-05-17HU00007101733,56332943.925
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2022-05-12HU00007101733,56394843.933
2022-05-11HU00007101733,66560545.186
2022-05-10HU00007101733,72012045.858
2022-05-09HU00007101733,68002745.364
2022-05-06HU00007101733,67215045.267
2022-05-05HU00007101733,68082045.374
2022-04-29HU00007101733,62987144.745
2022-04-28HU00007101733,62891344.734
2022-04-27HU00007101733,66506345.179
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2022-04-08HU00007101733,58864244.237
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2022-04-06HU00007101733,46704642.738
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2022-03-09HU00007101733,00015336.983
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2022-03-03HU00007101732,97923336.725
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2022-03-01HU00007101732,91546835.939
2022-02-28HU00007101732,89128835.641
2022-02-25HU00007101732,90270735.782
2022-02-24HU00007101732,77199934.170
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2021-12-03HU00007101732,88829135.604
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2021-12-01HU00007101732,81173934.660
2021-11-30HU00007101732,73752833.746
2021-11-29HU00007101732,74653433.857
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2021-11-24HU00007101732,76781634.119
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2021-11-22HU00007101732,68825933.138
2021-11-19HU00007101732,66571532.860
2021-11-18HU00007101732,67185532.936
2021-11-17HU00007101732,62866532.404
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2021-11-04HU00007101732,40139029.602
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2021-10-27HU00007101732,31835828.578
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2021-10-22HU00007101732,26942227.975
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