INDEX - Fix 143C
ISIN: SK4120008749
Vývoj fondu
Zobraziť údaje v tabuľke
| Obdobie | Hodnota (%) |
|---|---|
| 11/2012 | 0.945 % |
| 03/2013 | 0.982188 % |
| 07/2013 | 1.010409 % |
| 11/2013 | 1.051505 % |
| 03/2014 | 1.136727 % |
| 07/2014 | 1.195997 % |
| 11/2014 | 1.130474 % |
| 03/2015 | 1.049911 % |
| 07/2015 | 1.074917 % |
| 10/2015 | 1.219344 % |
| 02/2016 | 1.165812 % |
| 06/2016 | 1.225006 % |
| 10/2016 | 1.256932 % |
| 02/2017 | 1.248653 % |
| 06/2017 | 1.285644 % |
| 10/2017 | 1.333058 % |
| 02/2018 | 1.362328 % |
| 06/2018 | 1.341057 % |
| 10/2018 | 1.3488609999999999 % |
| 02/2019 | 1.393017 % |
| 06/2019 | 1.41462 % |
| 10/2019 | 1.417179 % |
| 02/2020 | 1.424242 % |
| 06/2020 | 1.402877 % |
| 10/2020 | 1.42529 % |
| 02/2021 | 1.43296 % |
| 06/2021 | 1.438546 % |
| 10/2021 | 1.43576 % |
| 02/2022 | 1.431549 % |
| 06/2022 | 1.426112 % |
| 02/2023 | 1.433978 % |