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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: 2021-12-24

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CIB Futball Tőkevédett Származtatott Alap
Évesített hozam: 2,49%

dátum azonosító árfolyam* eszközérték
2022-03-18HU000072187310.472,5000005.826.580.000
2022-03-17HU000072187310.496,6147005.840.000.000
2022-03-16HU000072187310.495,4367005.839.350.000
2022-03-11HU000072187310.489,1174005.835.830.000
2022-03-10HU000072187310.487,5800005.837.120.000
2022-03-09HU000072187310.486,4127005.836.480.000
2022-03-08HU000072187310.485,5848005.836.540.000
2022-03-07HU000072187310.483,4704005.835.850.000
2022-03-04HU000072187310.479,6092005.833.700.000
2022-03-03HU000072187310.477,4401005.834.590.000

2022-03-02HU000072187310.478,3584005.835.100.000
2022-03-01HU000072187310.477,3585005.834.550.000
2022-02-28HU000072187310.476,3138005.833.970.000
2022-02-25HU000072187310.473,5408005.832.420.000
2022-02-24HU000072187310.471,6774005.831.380.000
2022-02-23HU000072187310.471,5030005.831.290.000
2022-02-22HU000072187310.470,5651005.831.810.000
2022-02-21HU000072187310.469,9691005.831.480.000
2022-02-18HU000072187310.466,7124005.829.670.000
2022-02-17HU000072187310.465,5700005.829.030.000
2022-02-16HU000072187310.463,5160005.829.040.000
2022-02-15HU000072187310.462,4766005.828.460.000
2022-02-14HU000072187310.461,4412005.827.880.000
2022-02-11HU000072187310.458,3328005.826.150.000
2022-02-10HU000072187310.457,3322005.825.590.000
2022-02-09HU000072187310.456,2941005.824.630.000
2022-02-08HU000072187310.455,2458005.824.040.000
2022-02-07HU000072187310.454,1248005.823.420.000
2022-02-04HU000072187310.450,9451005.821.650.000
2022-02-03HU000072187310.449,5656005.820.880.000
2022-02-02HU000072187310.447,5697005.819.770.000
2022-02-01HU000072187310.446,5581005.819.200.000
2022-01-31HU000072187310.445,5065005.820.370.000
2022-01-28HU000072187310.442,3476005.818.610.000
2022-01-27HU000072187310.441,3119005.818.030.000
2022-01-26HU000072187310.442,0827005.818.460.000
2022-01-25HU000072187310.442,5876005.818.750.000
2022-01-24HU000072187310.441,8114005.818.310.000
2022-01-21HU000072187310.438,8935005.816.690.000
2022-01-20HU000072187310.437,9725005.816.170.000
2022-01-19HU000072187310.436,9997005.815.630.000
2022-01-18HU000072187310.435,9656005.815.060.000
2022-01-17HU000072187310.435,3026005.814.690.000
2022-01-14HU000072187310.432,4704005.814.150.000
2022-01-13HU000072187310.431,4017005.815.490.000
2022-01-12HU000072187310.429,4407005.814.390.000
2022-01-11HU000072187310.428,0663005.814.140.000
2022-01-10HU000072187310.426,9705005.813.530.000
2022-01-07HU000072187310.423,7345005.811.720.000
2022-01-06HU000072187310.422,3321005.810.940.000
2022-01-05HU000072187310.421,0483005.810.220.000
2022-01-04HU000072187310.419,7078005.809.480.000
2022-01-03HU000072187310.419,0209005.811.200.000
2021-12-30HU000072187310.414,5546005.808.710.000
2021-12-29HU000072187310.416,8468005.809.990.000
2021-12-28HU000072187310.415,8384005.809.420.000
2021-12-27HU000072187310.414,8621005.808.880.000