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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: 2022-11-02

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Raiffeisen Megoldás Plusz Alapok Alapja A sorozat
Évesített hozam: 28,72%

dátum azonosító árfolyam* eszközérték
2023-02-07HU00007185561,27030314.779.300.000
2023-02-06HU00007185561,27450614.859.400.000
2023-02-03HU00007185561,27341014.914.900.000
2023-02-02HU00007185561,26717914.835.900.000
2023-02-01HU00007185561,26602914.856.000.000
2023-01-31HU00007185561,26739014.900.100.000
2023-01-30HU00007185561,26775514.946.900.000
2023-01-27HU00007185561,26710314.969.100.000
2023-01-26HU00007185561,27089415.096.400.000
2023-01-25HU00007185561,27190415.167.700.000

2023-01-24HU00007185561,26730115.150.700.000
2023-01-23HU00007185561,26649415.207.900.000
2023-01-20HU00007185561,26987615.285.100.000
2023-01-19HU00007185561,26902615.322.600.000
2023-01-18HU00007185561,26869815.370.900.000
2023-01-17HU00007185561,26697415.368.900.000
2023-01-16HU00007185561,26595315.395.600.000
2023-01-13HU00007185561,26218915.363.700.000
2023-01-12HU00007185561,25510315.310.300.000
2023-01-11HU00007185561,25121615.288.600.000
2023-01-10HU00007185561,24772415.379.300.000
2023-01-09HU00007185561,24216615.335.200.000
2023-01-06HU00007185561,23676715.279.600.000
2023-01-05HU00007185561,23592715.292.800.000
2023-01-04HU00007185561,22692715.180.700.000
2023-01-03HU00007185561,22297615.134.900.000
2023-01-02HU00007185561,22258415.157.400.000
2022-12-30HU00007185561,22679415.224.600.000
2022-12-29HU00007185561,22650515.244.800.000
2022-12-28HU00007185561,22894415.297.100.000
2022-12-27HU00007185561,22874215.297.900.000
2022-12-23HU00007185561,23017715.366.900.000
2022-12-22HU00007185561,22988215.399.400.000
2022-12-21HU00007185561,22793615.427.200.000
2022-12-20HU00007185561,23220715.528.600.000
2022-12-19HU00007185561,23666615.629.800.000
2022-12-16HU00007185561,24517815.773.200.000
2022-12-15HU00007185561,25406515.909.600.000
2022-12-14HU00007185561,25232115.907.900.000
2022-12-13HU00007185561,25131715.958.900.000
2022-12-12HU00007185561,25156015.975.700.000
2022-12-09HU00007185561,25067916.007.200.000
2022-12-08HU00007185561,25118216.056.700.000
2022-12-07HU00007185561,25237416.107.300.000
2022-12-06HU00007185561,25164516.137.200.000
2022-12-05HU00007185561,25255716.188.900.000
2022-12-02HU00007185561,24948416.184.900.000
2022-12-01HU00007185561,24361916.160.400.000
2022-11-30HU00007185561,23980516.122.000.000
2022-11-29HU00007185561,24269616.211.200.000
2022-11-28HU00007185561,24575216.280.900.000
2022-11-25HU00007185561,24179716.278.900.000
2022-11-24HU00007185561,23607116.243.900.000
2022-11-23HU00007185561,23453016.293.100.000
2022-11-22HU00007185561,22944116.259.200.000
2022-11-21HU00007185561,22866816.278.800.000
2022-11-18HU00007185561,22783516.294.300.000
2022-11-17HU00007185561,22941516.362.500.000
2022-11-16HU00007185561,22727516.345.500.000
2022-11-15HU00007185561,22295116.304.300.000
2022-11-14HU00007185561,21184516.180.600.000
2022-11-11HU00007185561,20195316.101.100.000
2022-11-10HU00007185561,19210116.007.700.000
2022-11-09HU00007185561,18736415.968.100.000
2022-11-08HU00007185561,18095315.908.400.000
2022-11-07HU00007185561,18075515.932.400.000
2022-11-04HU00007185561,18166815.984.300.000
2022-11-03HU00007185561,18351416.059.500.000
2022-11-02HU00007185561,18023716.062.400.000