maximax logo
 

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: 2025-05-04

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





Generali Triumph Abszolút Hozamú Származtatott Alap C sorozat
Évesített hozam: 9,90%

dátum azonosító árfolyam* eszközérték
2025-07-31HU00007202550,012575142.237
2025-07-30HU00007202550,012573142.223
2025-07-29HU00007202550,012579142.287
2025-07-28HU00007202550,012558142.049
2025-07-25HU00007202550,012545141.904
2025-07-24HU00007202550,012550141.956
2025-07-23HU00007202550,012556142.029
2025-07-22HU00007202550,012553141.992
2025-07-21HU00007202550,012568142.159
2025-07-18HU00007202550,012555142.010

2025-07-17HU00007202550,012549141.952
2025-07-16HU00007202550,012537141.809
2025-07-15HU00007202550,012541141.855
2025-07-14HU00007202550,012531141.744
2025-07-11HU00007202550,012531141.747
2025-07-10HU00007202550,012546141.918
2025-07-09HU00007202550,012554142.007
2025-07-08HU00007202550,012562175.350
2025-07-07HU00007202550,012575175.532
2025-07-04HU00007202550,012566175.406
2025-07-03HU00007202550,012557175.280
2025-07-02HU00007202550,012540175.031
2025-07-01HU00007202550,012536174.983
2025-06-30HU00007202550,012521174.770
2025-06-27HU00007202550,012529174.890
2025-06-26HU00007202550,012520174.756
2025-06-25HU00007202550,012490174.335
2025-06-24HU00007202550,012491174.346
2025-06-23HU00007202550,012442173.666
2025-06-20HU00007202550,012446173.722
2025-06-19HU00007202550,012437173.596
2025-06-18HU00007202550,012455173.846
2025-06-17HU00007202550,012450173.785
2025-06-16HU00007202550,012454173.839
2025-06-13HU00007202550,012430173.504
2025-06-12HU00007202550,012443173.689
2025-06-11HU00007202550,012434173.555
2025-06-10HU00007202550,012447173.746
2025-06-06HU00007202550,012429173.489
2025-06-05HU00007202550,012439171.654
2025-06-04HU00007202550,012467172.047
2025-06-03HU00007202550,012447171.768
2025-06-02HU00007202550,012441171.686
2025-05-30HU00007202550,012447171.769
2025-05-29HU00007202550,012433171.571
2025-05-28HU00007202550,012443171.715
2025-05-27HU00007202550,012435171.607
2025-05-26HU00007202550,012421171.405
2025-05-23HU00007202550,012399171.108
2025-05-22HU00007202550,012414171.318
2025-05-21HU00007202550,012420171.395
2025-05-20HU00007202550,012430171.539
2025-05-19HU00007202550,012411171.265
2025-05-16HU00007202550,012390170.987
2025-05-15HU00007202550,012306169.824
2025-05-14HU00007202550,012312169.907
2025-05-13HU00007202550,012266169.263
2025-05-12HU00007202550,012256169.131
2025-05-09HU00007202550,012273169.370
2025-05-08HU00007202550,012266169.273
2025-05-07HU00007202550,012286169.541
2025-05-06HU00007202550,012252169.078
2025-05-05HU00007202550,012285169.530