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: 2022-05-21

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





Erste ESG Stock Cost Averaging USD 2 Alapok Alapja
Évesített hozam: -29,65%

dátum azonosító árfolyam* eszközérték
2022-10-03HU00007284230,8067005.968.610
2022-09-30HU00007284230,8070005.971.620
2022-09-29HU00007284230,8154006.033.780
2022-09-28HU00007284230,8099006.332.810
2022-09-27HU00007284230,8120006.761.190
2022-09-26HU00007284230,8178006.809.470
2022-09-23HU00007284230,8268006.892.890
2022-09-22HU00007284230,8459007.052.000
2022-09-21HU00007284230,8549007.141.660
2022-09-20HU00007284230,8658007.236.050

2022-09-19HU00007284230,8664007.241.440
2022-09-16HU00007284230,8712007.281.430
2022-09-15HU00007284230,8855007.418.150
2022-09-14HU00007284230,8930007.481.360
2022-09-13HU00007284230,9111007.633.400
2022-09-12HU00007284230,9235007.735.600
2022-09-09HU00007284230,9109007.630.020
2022-09-08HU00007284230,8931007.495.640
2022-09-07HU00007284230,8790007.377.400
2022-09-06HU00007284230,8810007.393.650
2022-09-05HU00007284230,8789007.376.510
2022-09-02HU00007284230,8872007.512.880
2022-09-01HU00007284230,8871007.520.290
2022-08-31HU00007284230,8969007.645.320
2022-08-30HU00007284230,9052007.715.840
2022-08-29HU00007284230,9074007.732.250
2022-08-26HU00007284230,9330007.956.260
2022-08-25HU00007284230,9330007.955.360
2022-08-24HU00007284230,9248007.900.100
2022-08-23HU00007284230,9259007.909.410
2022-08-22HU00007284230,9391008.036.040
2022-08-19HU00007284230,9554008.179.560
2022-08-18HU00007284230,9629008.243.370
2022-08-17HU00007284230,9672008.280.050
2022-08-16HU00007284230,9699008.303.200
2022-08-15HU00007284230,9605008.232.540
2022-08-12HU00007284230,9627008.277.880
2022-08-11HU00007284230,9648008.329.670
2022-08-10HU00007284230,9515008.220.240
2022-08-09HU00007284230,9477008.186.770
2022-08-08HU00007284230,9501008.208.200
2022-08-05HU00007284230,9471008.181.870
2022-08-04HU00007284230,9484008.192.770
2022-08-03HU00007284230,9384008.107.140
2022-08-02HU00007284230,9386008.113.630
2022-08-01HU00007284230,9453008.219.120
2022-07-29HU00007284230,9400008.173.130
2022-07-28HU00007284230,9233008.027.860
2022-07-27HU00007284230,9031007.852.390
2022-07-26HU00007284230,9016007.843.220
2022-07-25HU00007284230,9063007.884.260
2022-07-22HU00007284230,9091007.910.720
2022-07-21HU00007284230,9058007.882.550
2022-07-20HU00007284230,9001007.832.760
2022-07-19HU00007284230,8896007.749.060
2022-07-18HU00007284230,8841007.700.390
2022-07-15HU00007284230,8745007.623.380
2022-07-14HU00007284230,8660007.549.550
2022-07-13HU00007284230,8722007.608.330
2022-07-12HU00007284230,8782007.675.480
2022-07-11HU00007284230,8872007.753.500
2022-07-08HU00007284230,8881007.768.800
2022-07-07HU00007284230,8820007.716.080
2022-07-06HU00007284230,8757007.660.770
2022-07-05HU00007284230,8694007.615.590
2022-07-04HU00007284230,8764007.676.660
2022-07-01HU00007284230,8726007.643.400
2022-06-30HU00007284230,8736007.652.140
2022-06-29HU00007284230,8820007.734.680
2022-06-28HU00007284230,8920007.822.050
2022-06-27HU00007284230,8957007.854.320
2022-06-24HU00007284230,8834007.747.280
2022-06-23HU00007284230,8709007.637.300
2022-06-22HU00007284230,8691007.621.450
2022-06-21HU00007284230,8659007.593.780
2022-06-20HU00007284230,8601007.551.690
2022-06-17HU00007284230,8558007.513.900
2022-06-16HU00007284230,8594007.545.360
2022-06-15HU00007284230,8674007.615.600
2022-06-14HU00007284230,8665007.611.450
2022-06-13HU00007284230,8826007.778.960
2022-06-10HU00007284230,9054007.979.620
2022-06-09HU00007284230,9244008.147.580
2022-06-08HU00007284230,9312008.207.050
2022-06-07HU00007284230,9288008.186.040
2022-06-03HU00007284230,9327008.220.260
2022-06-02HU00007284230,9265008.171.990
2022-06-01HU00007284230,9270008.176.210
2022-05-31HU00007284230,9312008.213.660
2022-05-30HU00007284230,9338008.239.390
2022-05-27HU00007284230,9227008.137.720
2022-05-26HU00007284230,9059007.989.680
2022-05-25HU00007284230,9005007.942.360
2022-05-24HU00007284230,9058007.989.140
2022-05-23HU00007284230,9044007.971.340