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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: 2018-06-07

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Raiffeisen Ingatlan Alap D sorozat
Évesített hozam: 6,48%

dátum azonosító árfolyam* eszközérték
2020-07-06HU00007179541,34602360.732.200
2020-07-03HU00007179541,34649960.768.000
2020-07-02HU00007179541,34644060.765.300
2020-07-01HU00007179541,34586560.545.000
2020-06-30HU00007179541,34561960.533.900
2020-06-29HU00007179541,34543760.468.800
2020-06-26HU00007179541,34473660.365.500
2020-06-25HU00007179541,34422560.308.300
2020-06-24HU00007179541,34393960.115.600
2020-06-23HU00007179541,34361860.021.200

2020-06-22HU00007179541,34115959.621.600
2020-06-19HU00007179541,34036159.411.300
2020-06-18HU00007179541,34019059.429.300
2020-06-17HU00007179541,33989059.395.900
2020-06-16HU00007179541,33896159.354.800
2020-06-15HU00007179541,33862559.329.900
2020-06-12HU00007179541,33133359.006.700
2020-06-11HU00007179541,33111758.839.300
2020-06-10HU00007179541,33107258.806.600
2020-06-09HU00007179541,33069158.709.300
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2020-06-05HU00007179541,33047658.706.300
2020-06-04HU00007179541,33025358.686.600
2020-06-03HU00007179541,32981458.621.100
2020-06-02HU00007179541,32990858.518.700
2020-05-29HU00007179541,32924058.489.300
2020-05-28HU00007179541,32865958.332.800
2020-05-27HU00007179541,32845558.308.200
2020-05-26HU00007179541,32837658.331.300
2020-05-25HU00007179541,32808458.266.100
2020-05-22HU00007179541,32736658.279.000
2020-05-21HU00007179541,32723658.273.300
2020-05-20HU00007179541,32715358.235.700
2020-05-19HU00007179541,32722358.238.800
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2020-05-14HU00007179541,32520658.176.400
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2020-05-11HU00007179541,32437258.140.900
2020-05-08HU00007179541,32378858.115.300
2020-05-07HU00007179541,31844857.880.800
2020-05-06HU00007179541,31835657.776.800
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2020-04-06HU00007179541,31159556.783.800
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2020-03-31HU00007179541,31219358.443.500
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2020-03-26HU00007179541,31180161.787.500
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