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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: 2015-03-23

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CIB Euró Ázsiai Részvény Származtatott Alap
Évesített hozam: -1,67%

dátum azonosító árfolyam* eszközérték
2019-07-05HU00007170950,0095009.053.310
2019-07-04HU00007170950,0095349.085.630
2019-07-03HU00007170950,0095349.085.830
2019-07-02HU00007170950,0095349.086.030
2019-07-01HU00007170950,0095359.086.230
2019-06-28HU00007170950,0095359.090.590
2019-06-27HU00007170950,0095889.140.730
2019-06-26HU00007170950,0095889.140.930
2019-06-25HU00007170950,0095889.141.120
2019-06-24HU00007170950,0095889.141.320

2019-06-21HU00007170950,0095899.141.910
2019-06-20HU00007170950,0095899.142.100
2019-06-19HU00007170950,0095899.142.280
2019-06-18HU00007170950,0095909.142.470
2019-06-17HU00007170950,0095909.142.660
2019-06-14HU00007170950,0095909.143.230
2019-06-13HU00007170950,0095919.143.420
2019-06-12HU00007170950,0095919.143.600
2019-06-11HU00007170950,0095919.143.780
2019-06-07HU00007170950,0095929.144.520
2019-06-06HU00007170950,0095929.144.730
2019-06-05HU00007170950,0095919.144.190
2019-06-04HU00007170950,0095929.144.380
2019-06-03HU00007170950,0095929.144.580
2019-05-31HU00007170950,0095929.145.090
2019-05-30HU00007170950,0095939.145.270
2019-05-29HU00007170950,0095939.145.500
2019-05-28HU00007170950,0095939.146.280
2019-05-27HU00007170950,0095939.146.420
2019-05-24HU00007170950,0095949.146.970
2019-05-23HU00007170950,0095949.148.120
2019-05-22HU00007170950,0095949.150.060
2019-05-21HU00007170950,0095949.150.290
2019-05-20HU00007170950,0095949.150.470
2019-05-17HU00007170950,0095959.150.990
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2019-05-15HU00007170950,0095959.151.380
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2019-05-09HU00007170950,0095979.159.660
2019-05-08HU00007170950,0095979.159.840
2019-05-07HU00007170950,0095979.159.670
2019-05-06HU00007170950,0095979.159.870
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2019-04-09HU00007170950,0096269.211.220
2019-04-08HU00007170950,0096399.224.210
2019-04-05HU00007170950,0096039.189.640
2019-04-04HU00007170950,0096039.189.830
2019-04-03HU00007170950,0096039.189.650
2019-04-02HU00007170950,0096039.189.840
2019-04-01HU00007170950,0096039.191.070
2019-03-29HU00007170950,0096049.191.660
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2019-03-26HU00007170950,0096049.192.060
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2019-03-22HU00007170950,0096059.192.730
2019-03-21HU00007170950,0096199.206.260
2019-03-20HU00007170950,0096109.197.490
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2019-03-18HU00007170950,0096059.193.410
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2019-03-13HU00007170950,0096069.205.780
2019-03-12HU00007170950,0096069.205.950
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2019-03-07HU00007170950,0096079.206.770
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2019-03-04HU00007170950,0096089.207.300
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2019-01-09HU00007170950,0096229.259.660
2019-01-08HU00007170950,0095889.227.150
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2019-01-03HU00007170950,0095679.210.790
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2018-12-28HU00007170950,0095749.219.630
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2018-12-17HU00007170950,0095949.238.600
2018-12-14HU00007170950,0096099.253.880
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2018-12-12HU00007170950,0096289.272.040
2018-12-11HU00007170950,0095689.213.830
2018-12-10HU00007170950,0095689.228.220
2018-12-07HU00007170950,0095689.228.660
2018-12-06HU00007170950,0095699.228.810
2018-12-05HU00007170950,0095699.228.970
2018-12-04HU00007170950,0095689.228.560
2018-12-03HU00007170950,0095699.228.800
2018-11-30HU00007170950,0095699.229.260
2018-11-29HU00007170950,0095699.229.510
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2018-11-26HU00007170950,0095709.234.650
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2018-11-22HU00007170950,0095719.242.280
2018-11-21HU00007170950,0095719.242.180
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2018-11-16HU00007170950,0095719.250.970
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