Name ISIN |
Type of yield Currency |
Investment company | Repurchase p. Date |
Perf. 3M | Perf. 1Y | Perf. 3Y | Perf. 5Y | SR (1Y) Vola. (1Y) |
||
---|---|---|---|---|---|---|---|---|---|---|
Allianz Kötvényalap HU0000708201 |
- HUF |
Allianz Alapkezelő Zrt. | - 25/09/2024 |
+5.07% | +12.82% | +6.00% | +2.76% | 1.62 5.8% |
||
Allianz Rövid Kötvényalap HU0000707146 |
- HUF |
Allianz Alapkezelő Zrt. | - 27/09/2024 |
+2.60% | +8.67% | +20.27% | +19.37% | 2.63 2.01% |
||
Allianz Hazai Indexkövető Befekteté... HU0000708375 |
- HUF |
Allianz Alapkezelő Zrt. | - 25/09/2024 |
+4.93% | +31.86% | +37.47% | +68.25% | 2.35 12.14% |