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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: 2022-03-27

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CIB Élvonal Származtatott Alap
Évesített hozam: 5,13%

dátum azonosító árfolyam* eszközérték
2022-09-16HU000072280611.207,6530002.291.030.000
2022-09-15HU000072280611.271,4457002.304.080.000
2022-09-14HU000072280611.268,1697002.303.410.000
2022-09-13HU000072280611.265,2044002.302.800.000
2022-09-12HU000072280611.261,7199002.302.090.000
2022-09-09HU000072280611.254,3159002.300.570.000
2022-09-08HU000072280611.240,9795002.297.850.000
2022-09-07HU000072280611.226,2536002.294.840.000
2022-09-06HU000072280611.220,7253002.293.710.000
2022-09-05HU000072280611.239,1163002.297.470.000

2022-09-02HU000072280611.208,3467002.291.180.000
2022-09-01HU000072280611.220,0801002.293.580.000
2022-08-31HU000072280611.218,6149002.296.610.000
2022-08-30HU000072280611.227,8383002.298.500.000
2022-08-29HU000072280611.250,1575002.303.060.000
2022-08-26HU000072280611.303,0200002.313.890.000
2022-08-25HU000072280611.295,5676002.312.360.000
2022-08-24HU000072280611.283,4953002.309.890.000
2022-08-23HU000072280611.302,9681002.317.270.000
2022-08-22HU000072280611.352,2944002.328.190.000
2022-08-19HU000072280611.367,7571002.331.360.000
2022-08-18HU000072280611.370,9150002.333.650.000
2022-08-17HU000072280611.374,6460002.334.420.000
2022-08-16HU000072280611.355,0154002.330.390.000
2022-08-15HU000072280611.320,2456002.323.250.000
2022-08-12HU000072280611.265,5065002.313.150.000
2022-08-11HU000072280611.279,3560002.315.990.000
2022-08-10HU000072280611.255,6793002.311.130.000
2022-08-09HU000072280611.272,5722002.314.600.000
2022-08-08HU000072280611.256,1173002.311.380.000
2022-08-05HU000072280611.265,1881002.313.240.000
2022-08-04HU000072280611.252,3860002.310.610.000
2022-08-03HU000072280611.284,3349002.317.580.000
2022-08-02HU000072280611.329,5519002.328.300.000
2022-08-01HU000072280611.319,2974002.326.600.000
2022-07-29HU000072280611.264,7372002.315.390.000
2022-07-28HU000072280611.225,3998002.307.210.000
2022-07-27HU000072280611.219,8516002.306.070.000
2022-07-26HU000072280611.207,4804002.303.530.000
2022-07-25HU000072280611.214,8788002.305.600.000
2022-07-22HU000072280611.193,9798002.301.300.000
2022-07-21HU000072280611.196,9321002.301.910.000
2022-07-20HU000072280611.205,8369002.306.820.000
2022-07-19HU000072280611.129,0648002.291.020.000
2022-07-18HU000072280611.130,5985002.291.290.000
2022-07-15HU000072280611.066,7092002.278.140.000
2022-07-14HU000072280611.074,5781002.282.950.000
2022-07-13HU000072280611.100,4819002.288.290.000
2022-07-12HU000072280611.105,6629002.289.380.000
2022-07-11HU000072280611.120,0150002.295.500.000
2022-07-08HU000072280611.120,7725002.295.170.000
2022-07-07HU000072280611.076,9212002.288.080.000
2022-07-06HU000072280611.112,8129002.295.500.000
2022-07-05HU000072280611.136,2165002.300.330.000
2022-07-04HU000072280611.121,5350002.297.300.000
2022-07-01HU000072280611.110,3147002.294.980.000
2022-06-30HU000072280611.120,1228002.297.010.000
2022-06-29HU000072280611.123,5686002.297.720.000
2022-06-28HU000072280611.143,4169002.301.820.000
2022-06-27HU000072280611.127,5223002.298.530.000
2022-06-24HU000072280611.067,3212002.286.100.000
2022-06-23HU000072280611.075,2554002.287.740.000
2022-06-22HU000072280611.061,5570002.284.910.000
2022-06-21HU000072280610.980,9627002.269.360.000
2022-06-20HU000072280610.984,3172002.270.050.000
2022-06-17HU000072280610.978,5888002.268.870.000
2022-06-16HU000072280611.024,3741002.279.430.000
2022-06-15HU000072280610.978,1367002.270.000.000
2022-06-14HU000072280611.014,4485002.277.510.000
2022-06-13HU000072280611.081,6163002.291.400.000
2022-06-10HU000072280611.142,7955002.304.050.000
2022-06-09HU000072280611.180,4350002.311.830.000
2022-06-08HU000072280611.175,5545002.310.810.000
2022-06-07HU000072280611.172,3067002.310.140.000
2022-06-03HU000072280611.203,6176002.316.620.000
2022-06-02HU000072280611.160,5211002.307.710.000
2022-06-01HU000072280611.147,6138002.305.040.000
2022-05-31HU000072280611.179,0038002.311.530.000
2022-05-30HU000072280611.142,0828002.303.920.000
2022-05-27HU000072280611.079,5988002.291.000.000
2022-05-26HU000072280611.037,1633002.282.220.000
2022-05-25HU000072280611.044,7922002.290.410.000
2022-05-24HU000072280611.031,1704002.288.600.000
2022-05-23HU000072280610.965,0962002.274.900.000
2022-05-20HU000072280610.929,6003002.267.530.000
2022-05-19HU000072280610.983,8581002.278.790.000
2022-05-18HU000072280611.083,9167002.299.550.000
2022-05-17HU000072280611.086,9384002.300.170.000
2022-05-16HU000072280611.098,1126002.302.490.000
2022-05-13HU000072280611.020,7746002.286.450.000
2022-05-12HU000072280611.052,8657002.294.330.000
2022-05-11HU000072280610.977,0901002.278.600.000
2022-05-10HU000072280610.953,8319002.273.770.000
2022-05-09HU000072280611.014,8238002.286.440.000
2022-05-06HU000072280610.999,0963002.283.170.000
2022-05-05HU000072280611.035,1596002.290.660.000
2022-05-04HU000072280610.995,0209002.282.320.000
2022-05-03HU000072280610.990,5249002.281.390.000
2022-05-02HU000072280611.025,3134002.288.610.000
2022-04-29HU000072280611.045,7384002.292.850.000
2022-04-28HU000072280610.966,5207002.276.410.000
2022-04-27HU000072280610.966,5883002.283.960.000
2022-04-26HU000072280611.010,6834002.292.950.000
2022-04-25HU000072280611.036,0031002.298.230.000
2022-04-22HU000072280611.101,5560002.315.510.000
2022-04-21HU000072280611.068,5861002.308.630.000
2022-04-20HU000072280611.024,3457002.299.400.000
2022-04-19HU000072280610.988,5436002.291.970.000
2022-04-14HU000072280610.981,7783002.290.560.000
2022-04-13HU000072280610.959,6126002.285.930.000
2022-04-12HU000072280610.973,4690002.288.340.000
2022-04-11HU000072280610.986,7452002.291.110.000
2022-04-08HU000072280610.971,3194002.287.890.000
2022-04-07HU000072280610.968,8850002.287.390.000
2022-04-06HU000072280611.010,1264002.295.990.000
2022-04-05HU000072280611.043,6899002.302.980.000
2022-04-04HU000072280611.039,6473002.302.140.000
2022-04-01HU000072280611.010,8894002.298.620.000
2022-03-31HU000072280611.041,9647002.305.110.000
2022-03-30HU000072280611.064,9051002.309.900.000
2022-03-29HU000072280610.972,5040002.290.610.000
2022-03-28HU000072280610.943,3380002.284.520.000