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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: 2021-07-23

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K&H prémium gondoskodás származtatott zártvégű alap
Évesített hozam: 1,06%

dátum azonosító árfolyam* eszközérték
2021-11-12HU000071702011.230,0000001.341.900.000
2021-11-11HU000071702011.230,1277831.341.910.000
2021-11-10HU000071702011.230,2555741.341.930.000
2021-11-09HU000071702011.230,3833651.341.940.000
2021-11-08HU000071702011.230,5112561.341.960.000
2021-11-05HU000071702011.230,8946881.342.000.000
2021-11-04HU000071702011.231,0225041.342.020.000
2021-11-03HU000071702011.230,6603541.341.970.000
2021-11-02HU000071702011.230,2881621.341.930.000
2021-10-29HU000071702011.218,8294201.340.560.000

2021-10-28HU000071702011.218,4672361.340.520.000
2021-10-27HU000071702011.218,1150371.340.480.000
2021-10-26HU000071702011.217,7328691.340.430.000
2021-10-25HU000071702011.217,3606681.340.380.000
2021-10-22HU000071702011.216,2541011.340.250.000
2021-10-21HU000071702011.215,9019261.340.210.000
2021-10-20HU000071702011.215,5597361.340.170.000
2021-10-19HU000071702011.206,6475501.339.100.000
2021-10-18HU000071702011.206,3953651.339.070.000
2021-10-15HU000071702011.205,3888041.338.950.000
2021-10-14HU000071702011.205,0466141.338.910.000
2021-10-13HU000071702011.204,7444181.338.880.000
2021-10-12HU000071702011.204,4422391.338.840.000
2021-10-11HU000071702011.204,1600441.338.810.000
2021-10-08HU000071702011.203,2234961.338.700.000
2021-10-07HU000071702011.202,8912901.338.660.000
2021-10-06HU000071702011.202,5691181.338.620.000
2021-10-05HU000071702011.202,3169251.338.590.000
2021-10-04HU000071702011.198,9747431.338.190.000
2021-10-01HU000071702011.197,9581731.338.070.000
2021-09-30HU000071702011.197,6159911.338.030.000
2021-09-29HU000071702011.197,2537991.337.980.000
2021-09-28HU000071702011.196,9016001.337.940.000
2021-09-27HU000071702011.196,5694271.337.900.000
2021-09-24HU000071702011.195,5328641.337.780.000
2021-09-23HU000071702011.195,2306681.337.740.000
2021-09-22HU000071702011.195,0284791.337.720.000
2021-09-21HU000071702011.195,8763011.337.820.000
2021-09-20HU000071702011.221,7941031.340.910.000
2021-09-17HU000071702011.220,9975481.340.820.000
2021-09-16HU000071702011.220,7253711.340.790.000
2021-09-15HU000071702011.220,5431661.340.770.000
2021-09-14HU000071702011.220,3209841.340.740.000
2021-09-13HU000071702011.220,2888061.340.730.000
2021-09-10HU000071702011.219,4122371.340.630.000
2021-09-09HU000071702011.219,1000571.340.590.000
2021-09-08HU000071702011.218,3278551.340.500.000
2021-09-07HU000071702011.217,9156761.340.450.000
2021-09-06HU000071702011.217,6034881.340.410.000
2021-09-03HU000071702011.216,6269211.340.300.000
2021-09-02HU000071702011.231,3047321.342.050.000
2021-09-01HU000071702011.230,9825511.342.010.000
2021-08-31HU000071702011.230,7303591.341.980.000
2021-08-30HU000071702011.230,3981771.341.940.000
2021-08-27HU000071702011.229,2916181.341.810.000
2021-08-26HU000071702011.228,8894241.341.760.000
2021-08-25HU000071702011.228,5472331.341.720.000
2021-08-24HU000071702011.232,1350471.342.150.000
2021-08-23HU000071702011.232,2728551.342.170.000
2021-08-19HU000071702011.231,1641111.342.030.000
2021-08-18HU000071702011.204,0119171.338.790.000
2021-08-17HU000071702011.203,8697401.338.770.000
2021-08-16HU000071702011.203,7475401.338.760.000
2021-08-13HU000071702011.202,8209841.338.650.000
2021-08-12HU000071702011.202,7188011.338.640.000
2021-08-11HU000071702011.202,6266191.338.620.000
2021-08-10HU000071702011.202,5444211.338.610.000
2021-08-09HU000071702011.202,2422511.338.580.000
2021-08-06HU000071702011.201,3456801.338.470.000
2021-08-05HU000071702011.201,0834871.338.440.000
2021-08-04HU000071702011.200,8213021.338.410.000
2021-08-03HU000071702011.188,5491081.336.940.000
2021-08-02HU000071702011.188,2869231.336.910.000
2021-07-30HU000071702011.187,4903681.336.820.000
2021-07-29HU000071702011.187,2481761.336.790.000
2021-07-28HU000071702011.187,4859911.336.820.000
2021-07-27HU000071702011.194,3037941.337.630.000
2021-07-26HU000071702011.194,1116141.337.610.000
2021-07-23HU000071702011.193,5250481.337.540.000