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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: 2022-06-20

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





ERSTE Nyíltvégű Euro Ingatlan Befektetési Alap T180 sorozat
Évesített hozam: 4,28%

dátum azonosító árfolyam* eszközérték
2024-03-26HU00007224421,14000054.934.000
2024-03-25HU00007224421,13980054.920.000
2024-03-22HU00007224421,13950054.904.100
2024-03-21HU00007224421,13950054.660.600
2024-03-20HU00007224421,13910054.625.700
2024-03-19HU00007224421,13910054.641.300
2024-03-18HU00007224421,13900054.652.500
2024-03-14HU00007224421,13860054.648.600
2024-03-13HU00007224421,13840054.746.100
2024-03-12HU00007224421,13830054.754.300

2024-03-11HU00007224421,13830054.721.700
2024-03-08HU00007224421,13810054.706.600
2024-03-07HU00007224421,13790054.695.400
2024-03-06HU00007224421,13780054.663.700
2024-03-05HU00007224421,13760054.918.000
2024-03-04HU00007224421,13760054.922.900
2024-03-01HU00007224421,13730054.940.400
2024-02-29HU00007224421,13720054.934.400
2024-02-28HU00007224421,13720055.410.200
2024-02-27HU00007224421,13770055.414.600
2024-02-26HU00007224421,13760055.488.700
2024-02-23HU00007224421,13730055.456.200
2024-02-22HU00007224421,13730055.433.200
2024-02-21HU00007224421,13720055.036.900
2024-02-20HU00007224421,13710055.036.200
2024-02-19HU00007224421,13700054.976.600
2024-02-16HU00007224421,13670054.700.900
2024-02-15HU00007224421,13670054.649.100
2024-02-14HU00007224421,13660054.626.000
2024-02-13HU00007224421,13650054.649.800
2024-02-12HU00007224421,13650054.633.300
2024-02-09HU00007224421,13590054.647.000
2024-02-08HU00007224421,13590054.625.200
2024-02-07HU00007224421,13590054.634.300
2024-02-06HU00007224421,13590054.581.300
2024-02-05HU00007224421,13560054.735.500
2024-02-02HU00007224421,13530054.722.900
2024-02-01HU00007224421,13520054.786.700
2024-01-31HU00007224421,13520054.747.900
2024-01-30HU00007224421,13490054.723.700
2024-01-29HU00007224421,13490055.095.000
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2024-01-17HU00007224421,13370054.967.900
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2024-01-10HU00007224421,13330053.464.000
2024-01-09HU00007224421,13330053.454.600
2024-01-08HU00007224421,13330053.435.400
2024-01-05HU00007224421,13300053.403.800
2024-01-04HU00007224421,13300053.403.300
2024-01-03HU00007224421,13300053.508.300
2024-01-02HU00007224421,13290053.520.500
2023-12-29HU00007224421,13250053.431.600
2023-12-28HU00007224421,13250053.434.600
2023-12-27HU00007224421,13260053.419.100
2023-12-22HU00007224421,13040053.320.000
2023-12-21HU00007224421,13030053.315.800
2023-12-20HU00007224421,12970053.361.100
2023-12-19HU00007224421,12940053.385.600
2023-12-18HU00007224421,12900053.358.800
2023-12-15HU00007224421,12890053.313.800
2023-12-14HU00007224421,12880053.402.000
2023-12-13HU00007224421,12840053.388.400
2023-12-12HU00007224421,12840053.494.300
2023-12-11HU00007224421,12770053.600.000
2023-12-08HU00007224421,12740053.384.800
2023-12-07HU00007224421,12740053.481.400
2023-12-06HU00007224421,12730053.464.300
2023-12-05HU00007224421,12710053.455.300
2023-12-04HU00007224421,12630053.428.600
2023-12-01HU00007224421,12590053.393.400
2023-11-30HU00007224421,12570053.437.800
2023-11-29HU00007224421,12570053.508.400
2023-11-28HU00007224421,12550053.476.800
2023-11-27HU00007224421,12540053.521.200
2023-11-24HU00007224421,12480053.494.500
2023-11-23HU00007224421,12460053.523.400
2023-11-22HU00007224421,12460053.541.400
2023-11-21HU00007224421,12450054.080.800
2023-11-20HU00007224421,12440054.165.400
2023-11-17HU00007224421,12420054.159.200
2023-11-16HU00007224421,12410054.097.900
2023-11-15HU00007224421,12390054.010.000
2023-11-14HU00007224421,12380055.480.100
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2023-11-10HU00007224421,12340055.290.400
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2023-11-08HU00007224421,12320055.282.800
2023-11-07HU00007224421,12320055.256.000
2023-11-06HU00007224421,12310055.249.200
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2023-11-02HU00007224421,12270055.241.000
2023-10-31HU00007224421,12240055.263.100
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2023-10-24HU00007224421,12160055.099.500
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2023-10-19HU00007224421,12120054.945.500
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2023-10-17HU00007224421,12100054.713.500
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2023-10-13HU00007224421,12040054.769.600
2023-10-12HU00007224421,12030056.019.100
2023-10-11HU00007224421,12030056.027.700
2023-10-10HU00007224421,12020056.007.300
2023-10-09HU00007224421,11990056.138.300
2023-10-06HU00007224421,11960056.097.800
2023-10-05HU00007224421,11950056.086.900
2023-10-04HU00007224421,11940056.111.900
2023-10-03HU00007224421,11930056.071.100
2023-10-02HU00007224421,11920056.072.700
2023-09-29HU00007224421,11870056.042.500
2023-09-28HU00007224421,11850056.018.500
2023-09-27HU00007224421,11860056.041.300
2023-09-26HU00007224421,11860056.074.100
2023-09-25HU00007224421,11850056.031.900
2023-09-22HU00007224421,11840056.018.900
2023-09-21HU00007224421,11820055.957.600
2023-09-20HU00007224421,11810055.997.400
2023-09-19HU00007224421,11810054.615.700
2023-09-18HU00007224421,11760054.602.100
2023-09-15HU00007224421,11660054.773.700
2023-09-14HU00007224421,11620054.728.800
2023-09-13HU00007224421,11590054.714.000
2023-09-12HU00007224421,11550054.635.000
2023-09-11HU00007224421,11530054.606.700
2023-09-08HU00007224421,11420054.629.500
2023-09-07HU00007224421,11370054.613.600
2023-09-06HU00007224421,11350054.577.400
2023-09-05HU00007224421,11330054.602.100
2023-09-04HU00007224421,11310055.808.800
2023-09-01HU00007224421,11170055.609.000
2023-08-31HU00007224421,11160055.320.200
2023-08-30HU00007224421,11120054.751.600
2023-08-29HU00007224421,11110054.777.700
2023-08-28HU00007224421,11090054.974.700
2023-08-25HU00007224421,11070054.962.400
2023-08-24HU00007224421,11060054.930.300
2023-08-23HU00007224421,11050054.920.400
2023-08-22HU00007224421,11040054.926.900
2023-08-21HU00007224421,11030054.984.700
2023-08-18HU00007224421,10960055.048.500
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2023-08-14HU00007224421,10830055.083.000
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2023-08-10HU00007224421,10700055.092.100
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2023-08-08HU00007224421,10640055.500.500
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2023-08-03HU00007224421,10480055.526.000
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2023-08-01HU00007224421,10420055.520.700
2023-07-31HU00007224421,10410055.726.000
2023-07-28HU00007224421,10230055.646.200
2023-07-27HU00007224421,10220055.582.500
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2023-07-21HU00007224421,10080055.628.100
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2023-07-05HU00007224421,10060055.411.600
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