BAMOSZ Nyitó portlet

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Warning: The returns of the funds are calculated in their own currency. The returns of the past do not guarantee the future performance!
Detailed information appear on the right by clicking on the name of a fund.  If you mark a fund with the checkbox it will be automatically selected on the 'Comparing returns' page.
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Money market/Liquidity
K&H Dollar Money Market Open-ended Investment Fund normál sorozatú befektetési jegye
USD USD 1,244394 2024.04.25. 2,8% 4,2% 6,7% 2,9% 1,9% 1,3% 3,2% 1,4% 2007.03.01. 1
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Money market/Other money market
OTP Premium Money Market Fund I sorozat
HUF 1,287722 2024.04.26. 2,2% 4,7% N/A N/A N/A N/A 2,9% 8,2% 2023.07.17. 1
OTP Premium Money Market Fund A sorozat
HUF HUF 1,274315 2024.04.26. 1,8% 3,9% 10,4% 7,4% 4,4% 2,3% 2,4% 2,3% 2013.09.19. 1
VIG Hungarian Money Market Investment Fund
HUF HUF 2,827552 2024.04.25. 1,5% 3,7% 11,4% 7,5% 4,4% 2,5% 2% 4,9% 2002.09.03. 1
VIG Hungarian Money Market Investment Fund I sorozat
HUF 1,266283 2024.04.25. 1,6% 4,1% 12,1% 8,1% 4,8% N/A 2,2% 3,3% 2016.12.01. 1
VIG Polish Money Market Investment Fund A sorozat
PLN 1,205355 2024.04.24. 1,1% 2,3% 5,1% 3,3% 2% 1,5% 1,4% 1,6% 2012.10.26. 1
VIG Polish Money Market Investment Fund I sorozat
PLN 1,235968 2024.04.24. 1,1% 2,4% 5,3% 3,5% 2,2% 1,7% 1,5% 1,9% 2012.10.26. 1
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Bonds/Short bond
Accorde Trezor USD Fund
USD USD 1,080972 2024.04.24. 0,8% 2,5% 4,4% 1,3% 1,4% N/A 0,9% 1,3% 2018.06.19. 0
Allianz Short Bond Investment Fund
HUF HUF 1,647632 2024.04.29. 0,1% 4,3% 12,2% 4,6% 3,1% 1,7% 0,3% 3,2% 2008.08.08. 3
Amundi Cautious Bond Fund C Sorozat
HUF HUF 5,079288 2024.04.25. 1,3% 5,2% 14,4% 9,1% 5,4% 2,8% 1,9% 2,8% 2013.09.16. 0
Amundi Cautious Bond Fund A Sorozat
HUF HUF 4,936429 2024.04.25. 1,2% 5,1% 14% 8,7% 5,1% 2,5% 1,8% 6,3% 1998.01.23. 0
Amundi Cautious Bond Fund I Sorozat
HUF HUF 4,752101 2023.09.20. 4,4% 9,7% 17,1% 7,2% N/A 2,2% 12,8% 3,2% 2009.11.25. 0
APELSO EURO Short Bond Fund
EUR 0,011842 2024.04.25. 0,4% 1,6% 0,8% 2,6% 2,7% N/A -0,6% 2,1% 2016.01.25. 4
APELSO HUF Short Bond Subfund
HUF 1,146935 2024.04.25. 1% 3,1% 10,4% N/A N/A N/A 1,4% 11% 2023.01.02. 4
APELSO USD Short Bond Fund
Egyéb USD 0,008477 2024.04.25. 1,5% 3,1% -0,7% -0,6% 1,9% N/A 1,6% -1,7% 2014.06.20. 4
BFM Conservative Bond Fund
CZK CZK 1,219532 2024.04.24. 1,1% 5,1% 7,8% 1,4% 1,6% 1,2% 1,3% 1,5% 2010.12.10. 3
Budapest Bonitas Investment Fund
HUF HUF 3,128448 2024.04.26. 1,8% 4,5% 12,3% 8,6% 5,2% 2,9% 2,5% 5,6% 1997.03.03. 2
EQUILOR Euro Wealth Office Bond Sub-Fund
EUR 1,031787 2024.04.25. 0,4% 2,9% N/A N/A N/A N/A 0,4% 3,2% 2023.05.02. 2
EQUILOR Wealth Office Bond Sub-Fund
HUF 1,111312 2024.04.25. -0,9% 5,3% N/A N/A N/A N/A -0,7% 11,1% 2023.05.02. 3
ERSTE Base Open-end Investment Fund
HUF HUF 2,854962 2024.04.26. 1,7% 4,3% 11,6% 8,3% 4,9% 2,6% 2,2% 4,6% 2001.01.10. 1
Erste Dollar Base Open-end Investment Fund
USD USD 1,2413 2024.04.26. 1,1% 2,3% 4,7% 2,2% 1,7% 1,2% 1,4% 1,3% 2007.11.12. 1
Erste Euro Base Open-end Investment Fund
EUR EUR 1,1403 2024.04.26. 0,8% 1,6% 3,4% 1,2% 0,6% 0,2% 0,9% 0,8% 2007.11.12. 1
Erste Hungarian Bond Investment Fund
HUF 1,0254 2024.04.25. 1,8% N/A N/A N/A N/A N/A 2,6% 2,5% 2023.12.18. 3
Erste Interest Optimum Open-ended Investment Fund
HUF HUF 1,7872 2024.04.25. 1,5% 5,9% 13,2% 6,2% 4,4% 2,8% 1,9% 4,1% 2009.10.21. 2
Eurizon Start 2 Short Bond Sub-Fund
HUF HUF 3,226464 2024.04.26. 1,2% 4,2% 11,8% 6,3% 4,2% 2,3% 1,9% 5% 2000.05.11. 1
Generali Short Bond Fund A sorozat
HUF HUF 2,793584 2024.04.25. 0,5% 5% 14,3% 5,7% 3,8% 1,9% 1% 3,5% 2007.10.29. 2
Generali Short Bond Fund B sorozat
HUF HUF 3,003009 2024.04.25. 0,6% 5,3% 14,8% 6,3% 4,3% 2,4% 1,2% 4,9% 2001.06.08. 2
HOLD Short-Term Bond Investment Fund
HUF HUF 5,291107 2024.04.25. 1% 5,5% 14,4% 6,3% 4% 3,1% 1,4% 6,6% 1998.05.11. 2
K&H Government Securities responsible investment open ended fund F sorozat
HUF 1,33755 2024.04.24. 1,4% 5% 15,1% 8,5% 5,7% N/A 1,9% 4,3% 2017.03.29. 1
K&H Government Securities responsible investment open ended fund
HUF 1,351794 2024.04.24. 1,2% 4,4% 13,7% 7,4% 4,7% 2,9% 1,5% 2,9% 2013.09.26. 2
K&H HUF Short Term Bond Fund I sorozat
HUF HUF 0,99567 2024.04.24. N/A N/A N/A N/A N/A N/A -0,5% -0,5% 2024.03.05. 2
K&H HUF Short Term Bond Fund
HUF HUF 6,347067 2024.04.24. -0,1% 5,3% 14% 5,6% 4,1% 2,9% 0,2% 6,4% 1996.10.01. 2
MBH Base Domestic Short Bond Fund I sorozat
HUF HUF 1,354293 2024.04.24. 1,6% 6,2% 15,3% 7,4% 5,2% N/A 2,1% 3,6% 2015.10.29. 2
MBH Base Domestic Short Bond Fund A sorozat
HUF HUF 10,382544 2024.04.24. 1,4% 5,8% 14,3% 6,8% 4,7% 3,3% 1,9% 7,4% 1996.02.02. 2
MBH Base Euro Fund of Funds
EUR 0,889692 2024.04.24. 0,7% 3,1% 7,9% -5,4% -2,8% N/A 0,8% -1,4% 2015.09.28. 2
MBH Base Short Bond Fund
HUF 1,284243 2024.04.24. 1,6% 6,1% 15,3% 0,5% 1,5% 2% 2,1% 2,3% 2013.04.25. 2
MBH Basis Dollar Fund of Funds
USD 1,038887 2024.04.24. 0,8% 3,4% 7,8% -4% -1% N/A 0,9% 0,4% 2015.10.12. 2
MBH Bonitas Dollar Bond Fund
USD USD 1,176756 2024.04.24. 1,1% 2,2% 4,5% 1,1% 1,3% 1% 1,4% 1,1% 2009.09.22. 2
MBH Bonitas Euro Bond Fund
EUR EUR 1,075611 2024.04.24. 0,8% 1,7% 3,1% -0,3% 0% 0% 1% 0,5% 2008.08.08. 2
MBH Dollar Short Bond Investment Fund A sorozat
USD USD 1,314366 2024.04.24. 1% 5,7% 7,7% -0,4% 1% 2,2% 1% 2,4% 2012.10.24. 2
MBH Dollar Short Bond Investment Fund HUF sorozat
HUF 1,105437 2024.04.24. 2,3% 7,7% 15,7% N/A N/A N/A 2,7% 3,8% 2021.07.22. 2
MBH Euro Short Bond Fund HUF sorozat
EUR HUF 2,244983 2024.04.24. 2,2% 6,5% 8,9% 0,3% 2,6% 2,3% 3,3% 3,2% 1998.06.03. 2
MBH Euro Short Bond Fund I sorozat
EUR 0,978889 2024.04.24. 0,7% 3,9% 4,5% -1,8% -0,8% N/A 0,7% -0,3% 2016.12.08. 2
MBH Euro Short Bond Fund EUR sorozat
EUR EUR 0,005684 2024.04.24. 0,5% 3,6% 3,9% -2,4% -1,4% -0,2% 0,5% 1,3% 2008.02.19. 2
MBH Investment Card Fund
HUF HUF 1,804728 2024.04.26. 1,5% 3,8% 11,1% 7,7% 4,7% 2,4% 2,1% 6,2% 1995.10.04. 1
OTP Capital Guaranteed Short Bond Fund
HUF HUF 2,053762 2024.04.26. 1,4% 4,5% 11,8% 7,9% 4,7% 2,3% 2% 3,3% 2005.01.19. 2
OTP Dollar Short Bond Fund I sorozat
USD 0,01522 2024.04.26. 1,1% 3,4% N/A N/A N/A N/A 1,3% 4,6% 2023.07.17. 2
OTP Dollar Short Bond Fund A sorozat
USD USD 0,015181 2024.04.26. 1% 3,2% 5,7% 2,7% 2% 1,4% 1,2% 1,9% 2001.12.18. 2
OTP Euro Short Bond Fund A sorozat
EUR EUR 0,014456 2024.04.26. 0,8% 2,4% 4,1% 1,2% 0,4% 0,1% 1% 1,7% 2001.12.18. 2
OTP Euro Short Bond Fund I sorozat
EUR 0,014475 2024.04.26. 0,9% 2,5% N/A N/A N/A N/A 1,1% 3,5% 2023.07.17. 2
OTP Optima Capital Guaranteed Bond Fund B sorozat
HUF HUF 8,554992 2024.04.26. 1,5% 5,4% 13,6% 7,7% 5,3% N/A 2,1% 3,7% 2014.10.13. 2
OTP Optima Capital Guaranteed Bond Fund A sorozat
HUF HUF 8,096107 2024.04.26. 1,2% 4,9% 12,4% 7,1% 4,7% 3% 1,8% 7,7% 1996.04.16. 2
Raiffeisen ESG Short Term Bond Fund of Funds E sorozat
EUR 1,027187 2024.04.26. 0,4% 1,5% 2,7% N/A N/A N/A 0,2% 2,7% 2023.04.24. 3
Raiffeisen ESG Short Term Bond Fund of Funds U sorozat
USD 1,042692 2024.04.26. 0,6% 2,2% 3,5% N/A N/A N/A 0,5% 4,2% 2023.04.24. 3
Raiffeisen ESG Short Term Bond Fund of Funds A sorozat
HUF 1,084808 2024.04.26. 1,5% 3,9% 8,8% N/A N/A N/A 1,7% 8,4% 2023.04.24. 3
Raiffeisen Euro Premium Short Bond Fund
EUR EUR 1,086054 2024.04.26. 0,7% 1,9% 4,1% 0,8% 0,6% 0,3% 0,8% 0,6% 2010.03.08. 1
Raiffeisen Interest Premium Short Bond Fund
HUF HUF 4,776769 2024.04.26. 1,8% 4,2% 11,4% 7,4% 4,6% 2,7% 2,4% 6,2% 1998.04.21. 1
Takarek Short Bond Investment Fund
HUF HUF 1,331165 2024.04.25. 0,4% 5,2% 13,7% 5,2% 3,1% 2,6% 0,8% 2,7% 2013.09.18. 2
VIG Czech Short Term Bond Investment Fund A sorozat
CZK 1,036389 2024.04.24. 0,5% 2,1% N/A N/A N/A N/A 0,8% 3,5% 2023.07.03. 2
VIG Czech Short Term Bond Investment Fund I sorozat
CZK 1,040602 2024.04.24. 0,6% 2,4% N/A N/A N/A N/A 1% 4,1% 2023.07.03. 2
VIG Developed Market Short Term Bond Investment Fund U sorozat
USD 1,023609 2024.04.24. -0,2% 1,8% N/A N/A N/A N/A -0,6% 2,4% 2023.09.06. 2
VIG Developed Market Short Term Bond Investment Fund UI sorozat
USD 1,019588 2024.04.24. -0,1% 1,5% N/A N/A N/A N/A -0,4% 2% 2023.09.06. 2
VIG Developed Market Short Term Bond Investment Fund EI sorozat
EUR 1,010128 2024.04.24. -0,4% 0,8% N/A N/A N/A N/A -0,8% 1% 2023.09.06. 2
VIG Developed Market Short Term Bond Investment Fund E sorozat
EUR 1,006947 2024.04.24. -0,5% 0,6% N/A N/A N/A N/A -0,9% 0,7% 2023.09.06. 2
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Bonds/Long bond
Allianz Hungarian Bond Open-ended Investment Fund
HUF HUF 1,656852 2024.04.25. -2,6% 6,4% 14,6% -1,4% 0,1% 1,9% -2,6% 3,5% 2009.11.03. 3
Amundi Hungarian Bond Fund A sorozat
HUF HUF 6,145441 2024.04.25. -2,7% 6,5% 14,7% -0,4% 0,9% 2% -2,7% 6,9% 1997.01.23. 0
Amundi Hungarian Bond Fund I sorozat
HUF HUF 6,693261 2024.04.25. -2,5% 6,9% 15,6% 0,3% 1,5% 2,7% -2,5% 4,6% 2009.11.25. 0
Erste DPM Open-ended Global Bond Fund of Funds
HUF HUF 1,4917 2024.04.25. 0,8% 8,5% 11,6% 4,1% 4,1% 3,1% 0,2% 3,6% 2012.10.26. 3
ERSTE Open-ended XL Bond Investment Fund D sorozat
HUF HUF 0,9829 2024.04.25. -2,2% 7,6% 16,7% -1,8% -0,1% N/A -2,4% -0,3% 2017.12.05. 4
ERSTE Open-ended XL Bond Investment Fund
HUF HUF 2,275 2024.04.25. -2,5% 7% 15,6% -2,8% -0,7% 2,1% -2,7% 5,6% 2009.03.13. 4
Eurizon Kincsem Bond Sub-Fund
HUF HUF 4,4568 2024.04.25. -3,6% 5% 13,8% -2,1% -0,5% 1,6% -4,1% 5,7% 1997.06.05. 3
Generali Domestic Bond Fund A sorozat
HUF HUF 3,262514 2024.04.25. -2,5% 6,6% 14,6% -1,6% 0% 2% -2,5% 4,3% 2007.10.29. 3
Generali Domestic Bond Fund B sorozat
HUF HUF 3,475317 2024.04.25. -2,4% 6,9% 15,2% -1,2% 0,5% 2,5% -2,4% 5,6% 2001.06.08. 3
HOLD Bond Investment Fund
HUF HUF 3,631484 2024.04.25. -1,4% 6,8% 15,2% -1,9% 0% 2,4% -1,3% 5,7% 2001.03.29. 3
Hungarian Post Savings Long Term Bond Investment Fund
HUF HUF 2,99495 2024.04.25. -2,7% 6,3% 16% -2,6% -0,7% 2,1% -2,7% 3,8% 1997.01.09. 3
K&H HUF Long Term Bond Fund
HUF HUF 7,631462 2024.04.24. -3,4% 5,9% 14,3% -1,5% 0% 2% -3,1% 5% 2000.02.16. 3
K&H HUF Long Term Bond Fund F Sorozat
HUF 1,122853 2024.04.24. -3,2% 6,5% 15,6% -0,3% 1,2% N/A -2,8% 1,9% 2018.05.22. 3
MBH Domestic Long Bond Fund I sorozat
HUF 1,116407 2024.04.24. -1% 7,6% 16,1% 0,3% 1,4% N/A -0,6% 1,6% 2018.06.28. 3
MBH Domestic Long Bond Fund A sorozat
HUF HUF 8,579275 2024.04.24. -1,1% 7,4% 15,7% -0,1% 0,8% 2,6% -0,7% 7% 1997.02.03. 3
MKB Government Securities Investment Fund
HUF HUF 6,96496 2024.04.26. -0,5% 7,7% 15,1% -3% -0,9% 1,6% -0,7% 6,7% 1995.07.25. 3
OTP Maxima Bond Fund A sorozat
HUF HUF 3,955257 2024.04.25. -2,1% 6,6% 14,6% -0,7% 0,8% 2,4% -1,9% 6,1% 2000.12.22. 3
OTP Maxima Bond Fund B sorozat
HUF HUF 4,341936 2024.04.25. -1,8% 7,1% 15,7% 0,3% 1,8% N/A -1,6% 2,9% 2014.12.19. 3
OTP Meta Global Bond Fund A sorozat
USD 0,97228 2024.04.25. 0,4% 5,5% 5,7% -0,5% N/A N/A 0,9% -0,7% 2020.05.15. 2
OTP Meta Global Bond Fund I sorozat
USD 1,001833 2024.04.24. 0,8% 5,9% 6,7% 0,3% N/A N/A 1,4% 0% 2020.05.15. 2
Raiffeisen Bond Fund A sorozat
HUF HUF 4,914716 2024.04.26. -1,8% 5,3% 15,1% 1,5% 1,5% 2,7% -1,6% 6,2% 1997.10.09. 3
Raiffeisen Bond Fund B sorozat
HUF 4,930686 2024.04.26. -1,8% 5,3% 15,1% 1,5% 1,5% N/A -1,6% 1,6% 1997.10.09. 3
Raiffeisen Bond Fund Q sorozat
HUF HUF 1,071715 2024.04.26. -1,6% 5,8% 16,2% 2,5% N/A N/A -1,3% 1,5% 2019.08.29. 3
Raiffeisen Bond Fund I sorozat
HUF 1,20559 2024.04.26. -1,7% 5,4% 15,2% 1,5% 1,5% N/A -1,5% 2,6% 2017.01.12. 3
VIG Hungarian Bond Investment Fund I sorozat
HUF 1,056754 2024.04.24. -3,8% 6,3% 14,9% -2,6% -0,5% N/A -3,7% 0,5% 2016.12.01. 3
VIG Hungarian Bond Investment Fund
HUF HUF 5,047963 2024.04.24. -4,1% 5,6% 13,6% -3,6% -1,4% 1,5% -4,1% 6,4% 1998.03.16. 3
VIG Polish Bond Investment Fund A sorozat
PLN HUF 1,861146 2024.04.24. 2,5% 9% 18,1% -0,1% 2,5% 2,8% 2,4% 3,7% 2011.11.18. 4
VIG Polish Bond Investment Fund P sorozat
PLN PLN 1,070897 2024.04.24. -1% 2,1% 5,9% -4,6% -1,5% 0,6% -1,1% 0,7% 2014.03.28. 3
VIG Polish Bond Investment Fund I sorozat
PLN PLN 1,233713 2024.04.24. N/A N/A N/A N/A N/A N/A N/A N/A 2011.12.23. 3
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Bonds/Unlimited duration bond
Amundi Flexible Bond Fund Z sorozat
HUF 1,264171 2024.04.25. 0% 6,9% 16,3% 6,4% N/A N/A 0,4% 5% 2019.07.17. 0
Amundi Flexible Bond Fund I sorozat
HUF 1,043323 2023.03.13. 3,8% 8% 3,8% 3,1% N/A N/A 4,3% 1,2% 2019.10.15. 0
Amundi Flexible Bond Fund A sorozat
HUF 1,193768 2024.04.25. -0,3% 6,3% 14,9% 5,2% N/A N/A 0% 3,8% 2019.07.17. 0
ERSTE Open-ended Absolute Return Bond Investment Fund D sorozat
HUF HUF 1,3423 2024.04.25. 0,7% 7,9% 15,3% 6,7% 5,8% N/A 1% 4,7% 2017.12.05. 2
ERSTE Open-ended Absolute Return Bond Investment Fund
HUF HUF 1,9369 2024.04.25. 0,4% 7,4% 14,2% 5,7% 4,9% 3,6% 0,6% 5,4% 2011.09.22. 2
Erste Open-Ended Dollar Absolute Return Bond Investment Fund D sorozat
USD USD 1,1579 2024.04.25. 0,9% 5,7% 7,3% 2,3% 2,4% N/A 0,6% 2,3% 2017.12.05. 2
Erste Open-Ended Dollar Absolute Return Bond Investment Fund
USD USD 1,1609 2024.04.25. 0,7% 5,4% 6,5% 1,7% 1,9% N/A 0,4% 2% 2016.08.05. 2
Erste Open-ended Euro Absolute Return Bond Investment Fund
EUR 0,9882 2024.04.25. 0,5% 4,5% 5,5% N/A N/A N/A 0,2% -0,5% 2021.09.16. 2
Eurizon Global Bond, Sub-Fund of Eurizon Umbrella Fund
HUF 1,1923 2024.04.25. 2% 5,9% 7,4% 4,2% 3% N/A 2,1% 1,9% 2015.04.15. 4
Eurizon Global Corporate Bond Sub-Fund of Eurizon Umbrella Fund
HUF HUF 1,3708 2024.04.25. 2,6% 8,3% 12,7% 7,1% 5,1% 2,8% 3,5% 2,4% 2011.04.18. 4
MBH Developed Market Corporate Bond Fund EUR sorozat
EUR EUR 0,947984 2024.04.24. 0% 5,7% 4,6% -0,7% N/A N/A 0,2% -1,2% 2019.11.28. 3
MBH Developed Market Corporate Bond Fund HUF sorozat
HUF HUF 1,113911 2024.04.24. 1,7% 8,7% 9,7% 2% N/A N/A 2,9% 2,5% 2019.11.28. 3
MBH Developed Market Corporate Bond Fund USD sorozat
USD USD 0,918788 2024.04.24. -1,7% 6,9% 1,4% -4,7% N/A N/A -2,9% -1,9% 2019.11.28. 3
MBH Emerging Market Bond Fund USD sorozat
Egyéb USD 0,966288 2024.04.24. -1,4% 5,5% 2,4% -3% -0,8% -1% -3,5% -0,3% 2012.05.11. 3
MBH Emerging Market Bond Fund CZK sorozat
Egyéb CZK 1,222179 2024.04.24. 1,9% 7,1% 13,6% 0,2% -0,4% 0,7% 1,7% 19,9% 2010.12.22. 3
MBH Emerging Market Bond Fund
Egyéb HUF 1,708037 2024.04.24. 2% 7,3% 10,8% 3,8% 4,2% 4% 2,3% 3,8% 2010.04.28. 3
MBH High Yield Corporate Bond Fund HUF sorozat
HUF 1,117233 2024.04.24. 3,2% 11,6% 19,2% 2,6% 1,9% N/A 3,5% 1,3% 2015.10.27. 3
MBH High Yield Corporate Bond Fund I sorozat
HUF 1,129011 2024.04.24. 3,3% 11,9% 19,8% 3,1% 2,5% N/A 3,6% 1,6% 2016.08.26. 3
OTP EMEA Bond Fund I sorozat
HUF 2,088762 2024.04.25. 2,8% 8,1% 19,5% 8,2% 7,2% N/A 3,8% 4,5% 2016.12.06. 2
OTP EMEA Bond Fund
HUF 1,961446 2024.04.24. 3,2% 8,6% 18,8% 7,5% 6,3% 3,8% 3,8% 5,6% 2011.12.15. 2
OTP Strategic EUR Bond Fund B sorozat
HUF 1,032083 2024.04.24. 1,2% N/A N/A N/A N/A N/A 2,4% 3,2% 2023.11.29. 2
OTP Strategic EUR Bond Fund A sorozat
EUR 1,017293 2024.04.24. 0,8% N/A N/A N/A N/A N/A 1,5% 1,7% 2023.11.29. 2
VIG Developed Market Traesury Bond Investment Fund I sorozat
HUF 1,019039 2024.04.24. 1,8% 6,9% 4,9% 1,1% N/A N/A 1,3% 0,7% 2021.03.19. 4
VIG Developed Market Traesury Bond Investment Fund
Egyéb HUF 2,210443 2024.04.24. 1,6% 6,5% 4,2% 0,6% 2,2% 2,8% 1,1% 3,2% 1999.04.21. 4
VIG Emerging Europe Bond Investment Fund P sorozat
PLN 0,641272 2023.08.22. 0% 0% 0% N/A N/A N/A 0% -16,6% 2020.12.29. 4
VIG Emerging Europe Bond Investment Fund I sorozat
HUF 0,922219 2024.04.24. 1,6% 9,4% 11,5% -6,9% -2% N/A 0,7% -1,1% 2016.12.30. 6
VIG Emerging Europe Bond Investment Fund A sorozat
EUR EUR 0,716062 2024.04.24. -0,3% 6,1% 2,2% -13,1% -6,6% -3,1% -2% -2% 2007.12.11. 4
VIG Emerging Europe Bond Investment Fund B sorozat
HUF 0,760241 2024.04.24. 1,1% 8,7% 10,9% -8,1% N/A N/A 0,1% -8% 2020.05.26. 4
VIG Emerging Europe Bond Investment Fund Pl sorozat
PLN 0,646968 2023.08.22. 0% 0% 0% N/A N/A N/A 0% -16,3% 2020.12.29. 4
VIG Emerging Europe Bond Investment Fund UI sorozat
USD 0,892512 2024.04.24. 0,2% 7,4% 4,9% -10,6% -3,7% N/A -1,4% -1,5% 2017.01.05. 4
VIG Emerging Europe Bond Investment Fund U sorozat
USD 0,729405 2024.04.24. 0,1% 7,1% 4,4% -9,1% N/A N/A -1,5% -9,1% 2020.05.26. 4
VIG Emerging Europe Bond Investment Fund R sorozat
HUF 0,688081 2023.08.22. 0% 0% 0% N/A N/A N/A 0% -13,5% 2020.12.29. 4
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Mixed/Deliberate
Erste Multi Asset Base Fund of Funds
HUF HUF 1,8964 2024.04.25. 1,7% 10,8% 19% 6,8% 5,9% 4,2% 2,5% 5% 2011.03.02. 3
Eurizon Euro Relax Balanced Sub-Fund
EUR 0,01044 2024.04.25. 0,6% 3,9% 4,1% 1% 0,7% N/A 0,5% 0,5% 2015.08.26. 2
Eurizon Relax Balanced Sub-Fund
HUF 1,231 2024.04.25. 1,2% 6,1% 14,1% 6% 4% N/A 2% 2,4% 2015.08.26. 2
K&H Comfort Responsible Investment Open Ended Fund of Funds normál sorozat
HUF 1,130258 2024.04.23. -1% 7,7% 15,4% 2,4% N/A N/A -0,3% 3% 2020.03.18. 3
K&H Comfort Responsible Investment Open Ended Fund of Funds I sorozat
HUF 1,00285 2024.04.23. N/A N/A N/A N/A N/A N/A N/A N/A 2024.04.22. 3
K&H Comfort Responsible Investment Open Ended Fund of Funds rendszeres sorozat
HUF 1,127372 2024.04.23. -1% 7,7% 15,4% 2,4% N/A N/A -0,3% 3% 2020.03.18. 3
K&H global balanced fund of open-ended investment funds USD sorozat
USD 1,04997 2024.04.23. 1,6% 8,8% 6,1% -3,4% -0,2% N/A 0,7% 0,7% 2016.10.07. 4
K&H global balanced fund of open-ended investment funds EUR sorozat
EUR EUR 1,290004 2024.04.23. 2,2% 8,6% 6,2% -0,6% 0,7% 1,5% 2% 1,9% 2010.10.11. 4
K&H Selected Comfort Fund of Funds I sorozat
HUF 0,995723 2024.04.23. N/A N/A N/A N/A N/A N/A -0,6% -0,6% 2024.04.09. 3
K&H Selected Comfort Fund of Funds
HUF 2,537096 2024.04.23. -0,6% 8% 14,9% 2,2% 2,7% 3% -0,1% 4,9% 2004.10.15. 3
K&H Selected Comfort Fund of Funds Rendszeres sorozat
HUF 1,173362 2024.04.23. -0,6% 8% 14,9% 2,2% 2,7% N/A -0,1% 2,9% 2018.09.10. 3
OTP Premium Active Classic Fund of Funds
HUF HUF 1,482434 2024.04.25. 4,5% 10,1% 18,7% 6,9% 6,3% N/A 4,8% 4,8% 2015.11.05. 2
OTP Premium Classic Fund
HUF HUF 2,671673 2024.04.25. 2,1% 7% 15,9% 8% 6,1% 4,3% 2,5% 5,8% 2006.12.12. 2
OTP Premium Trend Classic Fund of Funds
HUF HUF 1,548314 2024.04.24. 3,2% 8,7% 15,1% 8% 7% N/A 4,7% 5,3% 2015.11.05. 2
OTP Target-Date 2025 Fund of Funds I sorozat
HUF/EUR/USD HUF 1,153074 2024.04.25. 0,2% 8% 14,9% 4,2% N/A N/A 0,8% 4,5% 2021.01.06. 3
OTP Target-Date 2025 Fund of Funds A sorozat
HUF/EUR/USD HUF 1,127194 2024.04.25. 0% 7,6% 14,1% 3,5% N/A N/A 0,6% 3,7% 2021.01.06. 3
Raiffeisen ESG Conservative Balanced Fund of Funds F sorozat
EUR 0,858225 2024.04.26. 0,8% 6,1% 5,1% 0% -0,4% N/A 0,4% 0,1% 2017.08.22. 4
Raiffeisen ESG Conservative Balanced Fund of Funds U sorozat
USD 1,133964 2024.04.26. -1,5% 6,8% 1,4% N/A N/A N/A -3,9% 9,3% 2022.09.26. 4
Raiffeisen ESG Conservative Balanced Fund of Funds E sorozat
EUR 0,854056 2024.04.26. 0,8% 6,1% 5,1% 0% -0,4% -1,6% 0,4% -0,9% 2007.11.05. 4
Raiffeisen ESG Conservative Balanced Fund of Funds A sorozat
HUF 1,269073 2024.04.26. 2,7% 8,3% 9,6% 2,6% 3,6% N/A 3,3% 3,7% 2017.09.22. 4
VIG Tempo Andante 1 Investing in Funds Sub-Fund
HUF 1,298861 2024.04.24. 0,5% 5,5% 13,7% 4,5% 3,4% N/A 0,7% 2,8% 2014.10.27. 2
VIG Tempo Andante 2 Investing in Funds Sub-Fund B sorozat
HUF 1,02221 2024.04.24. 0,6% 6,2% 11,7% 0,7% N/A N/A 0,4% 0,6% 2020.09.17. 3
VIG Tempo Andante 2 Investing in Funds Sub-Fund
HUF 1,224451 2024.04.24. 0,8% 6,7% 12,8% 1,7% 2,1% N/A 0,7% 2,2% 2014.10.27. 3
VIG Tempo Andante 3 Investing in Funds Sub-Fund
HUF 1,262642 2024.04.24. 1,3% 7,5% 13,7% 2,2% 2,6% N/A 1,2% 2,5% 2014.10.27. 3
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Mixed/Balanced
Accorde Cuvée Fund B sorozat
EUR 1,236752 2024.04.25. 6,5% 12,5% 21,1% 6,3% 4,2% N/A 6,7% 4,1% 2019.01.21. 0
Accorde Cuvée Fund A sorozat
HUF 1,536736 2024.04.25. 7,4% 15,5% 30,7% 13,2% 8,7% N/A 8,3% 8,5% 2019.01.21. 0
Accorde Cuvée Fund C sorozat
USD 1,351592 2024.04.25. 6,6% 13,4% 22,9% N/A N/A N/A 6,6% 20,4% 2022.09.08. 3
Amundi Age Trend Balanced Fund of Funds
HUF 1,366867 2024.04.25. 2,3% 10,9% 11% 4,5% 6,3% N/A 3,8% 6,3% 2019.03.07. 0
Amundi Balanced Fund of Funds of Disruptive Companies A
HUF 1,371694 2024.04.25. 1,6% 18,5% 27,6% 1,4% N/A N/A 5,4% 6,6% 2019.05.06. 0
Amundi Climate ESG Fund of Funds
HUF 1,227283 2024.04.25. 3,2% 13,7% 15,7% 4,9% N/A N/A 6% 6,3% 2020.12.11. 0
Amundi International Balanced Fund of Funds D Sorozat
Egyéb HUF 5,27287 2024.04.25. 3,1% 12,3% 20,7% 6% 7,6% 6,5% 4,5% 7,1% 2000.10.27. 0
Amundi International Balanced Fund of Funds A Sorozat
Egyéb HUF 5,059238 2024.04.25. 2,9% 12% 20,1% 5,5% 7,2% 6,2% 4,3% 8,1% 2009.02.26. 0
Amundi International Balanced Fund of Funds I Sorozat
Egyéb HUF 4,568701 2021.08.06. N/A N/A N/A N/A N/A N/A N/A N/A 2012.04.24. 0
Amundi My Portfolio Fund of Funds Amundi Ökológiai Átmenet Vegyes Alapok Alapja
HUF 1,437449 2024.04.25. 1,7% 8,2% 14,7% 4% 6,2% N/A 1,4% 4,9% 2016.10.05. 0
BFM Balanced Fund
CZK / Egyéb CZK 1,288909 2024.04.24. 4% 9,9% 14,4% 4,1% 3,9% 2,4% 4,2% 1,6% 2008.08.25. 4
BFM Conservative Balanced Fund
CZK / Egyéb CZK 1,352212 2024.04.24. 2,7% 7,5% 11,8% 3,9% 3,1% 2,4% 3,9% 1,8% 2007.10.15. 3
Budapest Premium Balanced Sub-Fund A sorozat
HUF 1,463145 2024.04.24. 2,1% 9,3% 15,9% 5,3% 5,9% N/A 3,1% 4,8% 2016.03.01. 4
Budapest Premium Conservative Sub-Fund A sorozat
HUF 1,371356 2024.04.24. 0,8% 6,7% 13,5% 5,9% 5,2% N/A 1,4% 4% 2016.03.01. 3
Erste Duet Open End Fund of Funds
HUF HUF 2,4488 2024.04.25. 1,9% 4,3% 11,8% 8,8% 5,9% 3,7% 2,4% 4,9% 2005.09.22. 1
Erste Multi Asset Balanced Fund of Funds
Egyéb HUF 1,4008 2024.04.25. 2,1% 12,2% 20,3% 7% 6,5% N/A 2,5% 5,9% 2018.05.17. 4
Erste Multi Asset Diversified Fund of Funds
Egyéb HUF 1,3725 2024.04.25. 3,6% 11,4% 17,1% 5,9% N/A N/A 4% 6,8% 2019.07.01. 4
Erste Multi Asset ESG Active EUR Fund of Funds
EUR 1,0739 2024.04.25. 1,9% 9,4% 7,1% N/A N/A N/A 1,5% 3,8% 2022.05.31. 4
Erste Multi Asset ESG Active Fund of Funds
HUF HUF 1,8654 2024.04.25. 3,2% 12,1% 14,9% 4,6% 5,1% 4% 3,3% 4,9% 2011.03.02. 4
Erste Open-Ended Dollar Duet Fund of Funds
USD USD 1,2794 2024.04.25. 0,5% 2,2% 4,8% 3,3% 3,2% N/A 1,3% 3,3% 2016.08.05. 1
Erste Real Assets EUR Fund of Funds
EUR EUR 1,1061 2024.04.25. 5,2% 9,5% 8,3% 0,9% 1,9% N/A 3,7% 1,1% 2014.11.18. 5
Erste Real Assets HUF Fund of Funds
HUF 1,2337 2024.04.25. 6,9% 14,8% 17,5% N/A N/A N/A 5,8% 7,8% 2021.06.17. 5
Erste Real Assets USD Fund of Funds
Egyéb USD 1,1651 2024.04.25. 4,4% 11% 6,2% 0,4% 2,8% N/A 2% 3% 2019.02.25. 5
Erste Savings Fund of Funds
HUF HUF 1,8967 2024.04.25. 1,3% 5,8% 12,9% 7,1% 5,4% 3,6% 1,6% 3,7% 2006.07.28. 2
Eurizon Balanced Sub-Fund of Funds
HUF 1,2784 2024.04.25. 4,2% 12,7% 15,8% 5,7% 4,4% N/A 5,1% 2,8% 2014.12.10. 3
Eurizon Euro Balanced Sub-Fund of Funds
EUR 0,010319 2024.04.25. 2,3% 10,1% 10,5% 1,2% 1,3% N/A 2,4% 0,4% 2015.06.15. 4
HOLD 2000 Balanced Fund A sorozat
HUF 13,165198 2024.04.25. 5,1% 13,5% 25,6% 12,2% 9,6% 6,9% 6% 10,1% 1997.08.27. 4
HOLD 2000 Balanced Fund B sorozat
EUR 1,313781 2024.04.25. 3,7% 9,8% 15,4% 4,9% N/A N/A 4% 8% 2020.10.28. 4
HOLD 2000 Balanced Fund I sorozat
HUF 1,663705 2024.04.25. 5,3% 13,9% 26,5% 13% N/A N/A 6,2% 15,3% 2020.09.28. 4
HOLD 3000 Open End Investment Fund A sorozat
HUF 2,223489 2024.04.25. 7,1% 17,6% 31,8% 15,5% 12,8% N/A 8,2% 9,9% 2015.11.02. 4
HOLD 3000 Open End Investment Fund I sorozat
HUF 1,986759 2024.04.25. 7,3% 18% 32,8% 16,3% N/A N/A 8,5% 20,6% 2020.06.12. 4
HOLD 3000 Open End Investment Fund B sorozat
EUR 1,567331 2024.04.25. 5,8% 14,1% 21,7% 8,1% N/A N/A 6,5% 13,1% 2020.09.10. 4
K&H Selected Impulse Fund of Funds Rendszeres sorozat
HUF 1,480916 2024.04.23. 2,1% 10,9% 17,4% 5,8% 7,2% N/A 3,2% 7,3% 2018.09.10. 4
K&H Selected Impulse Fund of Funds I sorozat
HUF 0,994306 2024.04.23. N/A N/A N/A N/A N/A N/A -0,5% -0,5% 2024.04.09. 4
K&H Selected Impulse Fund of Funds
HUF 3,399027 2024.04.23. 2,1% 10,9% 17,4% 5,8% 7,2% 5,9% 3,2% 6,5% 2004.10.15. 4
Magyar Posta Takarék Harmony Balanced Investment Fund A sorozat
HUF/EUR/USD HUF 1,521284 2024.04.25. 1% 6,2% 14,4% 8% 6,8% N/A 2,3% 5,3% 2016.02.15. 2
Magyar Posta Takarék Harmony Balanced Investment Fund B sorozat
HUF 1,085984 2024.04.25. 1% 6,1% N/A N/A N/A N/A 2,4% 8,4% 2023.08.01. 2
MBH Balance Dollar Funds of Fund
USD 1,263644 2024.04.24. 0,5% 6,8% 13,7% -2,1% 2% N/A 1,7% 2,7% 2015.05.05. 3
MBH Balance Euro Fund of Funds
EUR 1,080581 2024.04.24. 0,4% 6,2% 12,7% -3,8% 0% N/A 1,6% 0,8% 2015.01.29. 3
MBH Egyensúly Open Ended Fund B sorozat
HUF 1,135096 2024.04.24. 2,2% 11,5% N/A N/A N/A N/A 4,1% 11,6% 2023.07.31. 3
MBH Egyensúly Open Ended Fund
HUF 1,693177 2024.04.24. 1,6% 10,4% 20,8% 2,5% 4,5% 4,7% 3,4% 4,9% 2013.04.25. 3
OTP Multi-Asset Balanced Fund of Funds
EUR 1,161374 2024.04.24. 3,4% 11,6% 11,1% N/A N/A N/A 4,2% 9,5% 2022.08.26. 3
OTP Multi-Asset Conservative Fund of Funds
EUR 1,073348 2024.04.24. 1,6% 7,1% 6,5% N/A N/A N/A 1,6% 4,4% 2022.08.26. 3
OTP Paletta Open-end Securities Fund
HUF 7,150168 2024.04.25. 8,3% 14,2% 26,2% 8,1% 8,5% 6,4% 8,9% 7,7% 1997.11.17. 3
OTP Paletta Open-end Securities Fund I sorozat
HUF 7,445136 2024.04.25. 8,4% 14,5% 26,9% 8,7% 9,3% N/A 9% 7,2% 1997.11.17. 3
OTP Premium Balanced Fund
HUF 2,546106 2024.04.24. 5,8% 12,7% 20,4% 7,7% 7,7% 6,2% 6,4% 5,5% 2006.12.12. 3
OTP Premium Euro Fund
EUR 1,340016 2024.04.25. 4,1% 9% 12,4% 1,9% 2,6% 2,8% 4,1% 1,7% 2006.12.12. 3
OTP Target-Date 2030 Fund of Funds I sorozat
HUF/EUR/USD HUF 1,259451 2024.04.25. 2,1% 11,1% 18,1% 6,5% N/A N/A 3,6% 7,3% 2021.01.06. 3
OTP Target-Date 2030 Fund of Funds A sorozat
HUF/EUR/USD HUF 1,231197 2024.04.25. 1,9% 10,8% 17,3% 5,7% N/A N/A 3,3% 6,6% 2021.01.06. 3
Raiffeisen ESG Balanced Fund of Funds U sorozat
USD 1,008426 2024.04.26. 0% 9,9% 3,4% -3,9% N/A N/A -1,6% 0,3% 2020.01.29. 4
Raiffeisen ESG Balanced Fund of Funds A sorozat
HUF 1,320134 2024.04.26. 2,1% 13,3% 13,3% 6,2% N/A N/A 2,5% 6,9% 2020.01.29. 4
Raiffeisen ESG Balanced Fund of Funds E sorozat
EUR 1,00181 2024.04.26. N/A N/A N/A -1,1% 0,7% N/A 0,2% 0,2% 2015.04.28. 4
Raiffeisen ESG Balanced Fund of Funds F sorozat
EUR 1,031196 2024.04.26. 1,6% 9,5% 6,4% 0% N/A N/A 2,1% 0,8% 2020.01.29. 4
VIG Tempo Moderato 4 Investing in Funds Sub-Fund
HUF 1,359251 2024.04.24. 1,9% 9,2% 16,6% 3% 3,7% N/A 2,2% 3,3% 2014.10.27. 3
VIG Tempo Moderato 5 Investing in Funds Sub-Fund
HUF 1,410311 2024.04.24. 2,3% 9,8% 17,4% 3,5% 4,3% N/A 2,8% 3,7% 2014.10.27. 3
VIG Tempo Moderato 6 Investing in Funds Sub-Fund B sorozat
HUF 1,125253 2024.04.24. 2,5% 10% 17,2% 2,8% N/A N/A 3,1% 3,5% 2020.09.17. 4
VIG Tempo Moderato 6 Investing in Funds Sub-Fund
HUF 1,459924 2024.04.24. 2,8% 10,5% 18,3% 3,8% 4,7% N/A 3,4% 4,1% 2014.10.27. 4
VIG Tempo Moderato 7 Investing in Funds Sub-Fund
HUF 1,525629 2024.04.24. 3,4% 11,4% 19,1% 4,7% 5,5% N/A 4,1% 4,6% 2014.10.27. 4
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Mixed/Dynamic
Amundi Emerging Markets Balanced Fund of Funds A Sorozat
Egyéb HUF 1,730884 2024.04.25. 6,2% 11,6% 14,8% -2,9% 3,3% 4,5% 5,8% 4,4% 2011.05.13. 0
Budapest Active Portfolio Investment Fund of Funds HUF sorozat
HUF 1,482693 2024.04.24. 1,7% 10,9% 20,1% 6% 6,8% N/A 2,5% 7% 2018.06.20. 4
Budapest Premium Dynamic Sub-Fund A sorozat
HUF 1,724706 2024.04.24. 4,6% 13,4% 18,8% 6,8% 8,5% N/A 6,3% 7% 2016.03.01. 5
Budapest Premium Progressive Sub-Fund A sorozat
HUF 1,6006 2024.04.24. 3,8% 12,2% 18,2% 6,7% 7,5% N/A 5,3% 6% 2016.03.01. 4
Erste Multi Asset Growth Fund of Funds
Egyéb HUF 2,7503 2024.04.25. 2,9% 14,7% 23,8% 6,4% 8,9% 7,8% 3% 7,4% 2010.03.22. 5
Eurizon Dollar Private Banking Wealth Balanced Sub-Fund of Funds
USD 0,010448 2024.04.25. 2,7% 9,5% 9,2% N/A N/A N/A 3% 1,7% 2021.08.23. 3
Eurizon Euro Reflex Balanced Sub-Fund of Funds
EUR 0,01021 2024.04.25. 1,8% 8,8% 5,7% 0,1% 1% N/A 1,5% 0,3% 2017.10.17. 4
Eurizon Private Banking Asset Balanced Sub-Fund of Funds
HUF 1,487 2024.04.25. 3,7% 11,8% 16,8% 8,6% 7,5% N/A 4,5% 7,7% 2018.11.19. 4
Eurizon Reflex Balanced Sub-Fund of Funds
HUF 1,4198 2024.04.25. 3,1% 11,7% 14,9% 6,9% 5,4% N/A 3,3% 4,4% 2016.02.03. 4
K&H Impulse Responsible Investment Open Ended Fund of Funds I sorozat
HUF 1,001979 2024.04.23. N/A N/A N/A N/A N/A N/A N/A N/A 2024.04.22. 4
K&H Impulse Responsible Investment Open Ended Fund of Funds rendszeres sorozat
HUF 1,288823 2024.04.23. 1,1% 10,3% 17% 4,6% N/A N/A 2,4% 6,2% 2019.11.18. 4
K&H Impulse Responsible Investment Open Ended Fund of Funds normál sorozat
HUF 1,289087 2024.04.23. 1,1% 10,3% 17% 4,6% N/A N/A 2,4% 5,9% 2019.11.18. 4
K&H Pace Responsible Investment Open Ended Fund of Funds normál sorozat
HUF 1,155133 2024.04.23. 3,2% 13,1% 18,2% N/A N/A N/A 5,1% 7,2% 2022.03.21. 4
K&H Pace Responsible Investment Open Ended Fund of Funds rendszeres sorozat
HUF 1,155133 2024.04.23. 3,2% 13,1% 18,2% N/A N/A N/A 5,1% 7,2% 2022.03.17. 4
K&H Private Banking Yieldpaying Open Ended Fund of Funds
HUF 1026,84 2024.04.23. 2% 7,2% 9,6% 1,6% N/A N/A 2,1% 0,6% 2019.10.21. 5
K&H Selected Pace Fund of Funds I sorozat
HUF 0,995387 2024.04.23. N/A N/A N/A N/A N/A N/A -0,3% -0,3% 2024.04.09. 5
K&H Selected Pace Fund of Funds
HUF 4,436331 2024.04.23. 4,9% 14% 19,5% 9,1% 10,4% 9,1% 6,6% 7,9% 2004.10.15. 5
K&H Selected Pace Fund of Funds Rendszeres sorozat
HUF 1,686739 2024.04.23. 4,9% 14% 19,5% 9,1% N/A N/A 6,6% 11,4% 2019.06.17. 5
MBH Ambition Open Ended Investment Fund
HUF 2,051 2024.04.24. 3,8% 12% 22,2% 5,7% 8,1% 6,8% 5,3% 6,7% 2013.04.25. 3
OTP Multi-Asset Dynamic Fund of Funds
EUR 1,215387 2024.04.24. 4,4% 13,9% 14,2% N/A N/A N/A 5,6% 12,5% 2022.08.26. 4
OTP Premium Growth Fund
HUF 2,244805 2024.04.25. 7,4% 15,4% 22,9% 6,4% 8,1% 7,1% 8,4% 4,8% 2006.12.12. 4
OTP Target-Date 2035 Fund of Funds A sorozat
HUF/EUR/USD HUF 1,302201 2024.04.25. 3,5% 13,6% 19,9% 7,2% N/A N/A 5,7% 8,5% 2021.01.06. 4
OTP Target-Date 2035 Fund of Funds I sorozat
HUF/EUR/USD HUF 1,332182 2024.04.25. 3,7% 14% 20,7% 7,9% N/A N/A 6% 9,3% 2021.01.06. 4
OTP Target-Date 2040 Fund of Funds A sorozat
HUF/EUR/USD HUF 1,34245 2024.04.24. 5,8% 16,9% 22,5% 8,1% N/A N/A 7,9% 9,5% 2021.01.06. 4
OTP Target-Date 2040 Fund of Funds I sorozat
HUF/EUR/USD HUF 1,373346 2024.04.24. 5,9% 17,3% 23,3% 8,9% N/A N/A 8,1% 10,3% 2021.01.06. 4
OTP Target-Date 2045 Fund of Funds I sorozat
HUF/EUR/USD HUF 1,382309 2024.04.25. 4,6% 16,1% 23% 9% N/A N/A 7,4% 10,5% 2021.01.06. 4
OTP Target-Date 2045 Fund of Funds A sorozat
HUF/EUR/USD HUF 1,351183 2024.04.25. 4,4% 15,7% 22,1% 8,2% N/A N/A 7,2% 9,7% 2021.01.06. 4
OTP Target-Date 2050 Fund of Funds I sorozat
HUF/EUR/USD HUF 1,39883 2024.04.25. 4,8% 16,6% 23,4% 9,2% N/A N/A 7,8% 10,9% 2021.01.06. 4
OTP Target-Date 2050 Fund of Funds A sorozat
HUF/EUR/USD HUF 1,367389 2024.04.25. 4,7% 16,2% 22,6% 8,5% N/A N/A 7,6% 10,1% 2021.01.06. 4
Takarék Impulse Balanced Investment Fund
HUF 1,55113 2024.04.25. 3,9% 13,7% 19,3% 7% N/A N/A 5,9% 11,2% 2020.03.10. 3
VIG Premium Dynamic Sub Fund of Funds
HUF 1,306118 2024.04.24. 3,2% 10% 16,4% 3,2% 4,5% N/A 3,5% 3,3% 2016.03.07. 3
VIG Premium Everest Sub Fund of Funds
HUF 1,568281 2024.04.24. 4,6% 13,1% 18,1% 4,3% 6,2% N/A 4,6% 5,6% 2016.03.07. 5
VIG Tempo Allegro 10 Investing in Funds Sub-Fund
HUF 1,61313 2024.04.24. 5% 14,4% 22,6% 5,8% 6,5% N/A 6,1% 5,2% 2014.10.27. 4
VIG Tempo Allegro 10 Investing in Funds Sub-Fund B sorozat
HUF 1,218956 2024.04.24. 4,8% 13,9% 21,4% 4,7% N/A N/A 5,7% 5,9% 2020.09.17. 4
VIG Tempo Allegro 8 Investing in Funds Sub-Fund
HUF 1,581071 2024.04.24. 4% 12,9% 21,1% 5,4% 6,1% N/A 4,8% 4,9% 2014.10.27. 4
VIG Tempo Allegro 9 Investing in Funds Sub-Fund
HUF 1,578155 2024.04.24. 4,5% 13,5% 21,5% 5,4% 6,3% N/A 5,4% 4,9% 2014.10.27. 4
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Stock
Accorde America Equity Fund A sorozat
USD 1,251183 2024.04.25. 1,8% 17,8% 22,1% 5,2% N/A N/A 4,1% 7,2% 2021.01.28. 0
Accorde America Equity Fund B sorozat
EUR 1,171412 2024.04.25. 1,4% 16,6% 19,7% 3% N/A N/A 3,6% 5% 2021.01.28. 0
Accorde First Romanian Equity Fund A sorozat
HUF 2,708133 2024.04.24. 11,1% 19,4% 36,6% 19,1% 19,8% N/A 11% 14,8% 2017.02.02. 0
Accorde First Romanian Equity Fund B sorozat
EUR 2,098938 2024.04.24. 10,2% 16,1% 25,1% 10,2% 14,2% N/A 9,4% 10,8% 2017.02.02. 0
Accorde First Romanian Equity Fund I sorozat
HUF 2,900935 2024.04.24. 11,3% 20% 37,9% 20,1% 20,9% N/A 11,3% 15,9% 2017.02.02. 0
Accorde Fonix Recovery Equity Fund B sorozat
EUR 1,126895 2024.04.24. 8,8% 16,6% 15,8% 3,8% N/A N/A 10,6% 3,9% 2021.02.24. 0
Accorde Fonix Recovery Equity Fund A sorozat
HUF 1,38872 2024.04.24. 9,8% 19,8% 25,1% 11,1% N/A N/A 12,3% 11% 2021.02.24. 0
Accorde Spartan Greek Equity Fund I sorozat
HUF 1,789263 2024.04.24. 8% 23,9% 39,8% 22,6% N/A N/A 14,7% 12,9% 2019.07.01. 0
Accorde Spartan Greek Equity Fund B sorozat
EUR 1,568149 2024.04.24. 5,5% 19,6% 33,7% 18,6% N/A N/A 11,3% 9,8% 2019.07.01. 0
Accorde Spartan Greek Equity Fund A sorozat
HUF 1,690037 2024.04.24. 7,7% 23,4% 38,5% 21,3% N/A N/A 14,4% 11,5% 2019.07.01. 0
Accorde Wojtek Polish Equity Fund I sorozat
HUF 1,835203 2024.04.24. 14,5% 25,4% 42,9% 17,8% 12,2% N/A 8,8% 11,3% 2018.08.15. 0
Accorde Wojtek Polish Equity Fund B sorozat
EUR 1,393863 2024.04.24. 11,9% 21,7% 31,9% 9,3% 6,7% N/A 5,6% 6% 2018.08.15. 0
Accorde Wojtek Polish Equity Fund A sorozat
HUF 1,738573 2024.04.24. 14,3% 24,9% 42,1% 16,7% 11,2% N/A 8,5% 10,2% 2018.08.15. 0
Accorde World International Equity Fund I sorozat
HUF 1,001187 2024.04.24. N/A N/A N/A N/A N/A N/A 0,3% 0,3% 2024.03.04. 4
Accorde World International Equity Fund
HUF 1,491819 2024.04.24. 7,2% 19,5% 23,4% 8,9% 6,3% N/A 10% 5,1% 2016.04.04. 6
Accorde World International Equity Fund H sorozat
HUF 1,382805 2024.04.24. 3,9% 18,9% 27,2% N/A N/A N/A 5,2% 20,8% 2022.07.21. 6
Accorde World International Equity Fund B sorozat
EUR 1,105986 2024.04.24. 4,4% 14,6% 14% 0,3% N/A N/A 6,5% 2% 2019.06.06. 6
Accorde World International Equity Fund C sorozat
USD 1,262747 2024.04.24. 2,8% 16,1% 14,7% 3,7% N/A N/A 3,5% 4,8% 2019.06.06. 6
Allianz Index Tracker Equity Publicly Offered Open-ended Fund
HUF HUF 2,342016 2024.04.25. 1,9% 15,1% 49,2% 13,6% 7,1% 12,1% 8,4% 6,1% 2010.01.29. 5
Amundi Central European Equity Fund I Sorozat
Egyéb HUF 18,97367 2024.04.25. 10,1% 19,3% 36% 17% 11,4% 9,4% 9,6% 7,2% 2010.02.03. 0
Amundi Central-European Equity Fund A
Egyéb HUF 15,767511 2024.04.25. 9,8% 18,5% 34,3% 15,5% 10% 7,9% 9,2% 6,7% 1994.12.24. 0
Amundi Hungarian Index Tracking Equity Fund I sorozat
HUF HUF 7,488638 2024.04.25. 2,4% 16% 51,3% 14,9% 8,2% N/A 8,9% 11% 2012.04.24. 0
Amundi Hungarian Index Tracking Equity Fund
HUF HUF 6,653011 2024.04.25. 2% 15,3% 49,4% 13,4% 6,8% 11,5% 8,5% 7,2% 1997.01.23. 0
Amundi Selecta European Equity Fund of Funds A sorozat
EUR HUF 2,921537 2024.04.25. 6,1% 15,9% 12,1% 6,3% 8,3% 6,2% 7% 4,5% 1999.10.21. 0
Amundi Selecta European Equity Fund of Funds I sorozat
EUR HUF 3,297334 2024.04.25. 6,4% 16,5% 13,2% 7,4% 9,4% 7,2% 7,3% 8,3% 2011.01.17. 0
Amundi USA Currency Equity Fund of Funds A sorozat
USD HUF 4,995214 2024.04.25. 5,3% 18,9% 30,3% 12,3% 15,8% 14,4% 9,1% 6,5% 1998.10.22. 0
Amundi USA Currency Equity Fund of Funds I sorozat
USD HUF 4,781864 2022.07.14. 1% 8,7% 19% 21,6% 18,3% 16,4% 5,3% 15,6% 2011.01.17. 0
Artemisz Digital Assets Sub-Fund Open Ended Investment Unit B sorozat
USD 1,022452 2024.04.25. -1,8% N/A N/A N/A N/A N/A 2,2% 2,2% 2023.12.29. 6
Artemisz Digital Assets Sub-Fund Open Ended Investment Unit A sorozat
HUF 1,081121 2024.04.25. 1,6% N/A N/A N/A N/A N/A 8,1% 8,1% 2023.12.29. 6
Artemisz International Stock Exchange Guru Sub-Fund of Funds Open Ended Investment Unit B sorozat
USD 1,005386 2024.04.25. 0,9% N/A N/A N/A N/A N/A 0,5% 0,5% 2023.12.29. 6
Artemisz International Stock Exchange Guru Sub-Fund of Funds Open Ended Investment Unit A sorozat
HUF 1,063083 2024.04.25. 4,5% N/A N/A N/A N/A N/A 6,3% 6,3% 2023.12.29. 6
AXIOM SEP Equity Fund
USD 0,009761 2024.04.25. N/A N/A N/A N/A N/A N/A -2,4% -2,4% 2024.03.22. 5
Dialóg Expander Equity Fund
Egyéb HUF 0,864896 2024.04.25. 8,1% 0,1% 6,9% 12,8% 3% 1,9% 5,5% -0,9% 2008.03.20. 0
Diófa Jövőkép ESG Equity Investment Fund
HUF 1,592326 2024.04.25. 4,2% 18,5% 22,8% 8,8% N/A N/A 8,9% 13,7% 2020.09.11. 4
EQUILOR Central European Share Investment Fund B sorozat
EUR 1,656701 2024.04.24. 9,6% 19,3% 30,5% 12,2% N/A N/A 8,2% 14,2% 2020.07.01. 6
EQUILOR Central European Share Investment Fund
HUF 1,937932 2024.04.25. 11,3% 20,3% 36,3% 14,8% 10,1% N/A 10,6% 7,7% 2015.05.19. 6
EQUILOR Ingatlan Trend Investment Fund Investment Certificate B sorozat
HUF 0,983 2024.04.25. N/A N/A N/A N/A N/A N/A -1,7% -1,7% 2024.04.02. 6
EQUILOR Ingatlan Trend Investment Fund Investment Certificate A sorozat
HUF 1,040144 2024.04.25. N/A N/A N/A N/A N/A N/A -1,6% -1,6% 2024.04.02. 6
EQUILOR Noah International Share Investment Fund
HUF 2,283301 2024.04.25. 5,6% 18,2% 25,4% 11,1% 13,7% N/A 8,8% 9,9% 2015.05.20. 6
EQUILOR Telekom Trend Investment Fund Open Ended Investment Certificate A sorozat
HUF 1,048323 2024.04.25. N/A N/A N/A N/A N/A N/A -0,7% -0,7% 2024.04.02. 6
EQUILOR Telekom Trend Investment Fund Open Ended Investment Certificate B sorozat
HUF 0,99253 2024.04.25. N/A N/A N/A N/A N/A N/A -0,7% -0,7% 2024.04.02. 6
EQUILOR Wealth Office Equity Sub-Fund A sorozat
HUF 1,248968 2024.04.25. 7,6% 18,8% N/A N/A N/A N/A 8,7% 24,9% 2023.05.02. 6
EQUILOR Wealth Office Equity Sub-Fund C sorozat
USD 1,155278 2024.04.25. 3,9% 17,9% N/A N/A N/A N/A 2,8% 15,5% 2023.05.02. 6
EQUILOR Wealth Office Equity Sub-Fund B sorozat
EUR 1,181736 2024.04.25. 5,5% 16,4% N/A N/A N/A N/A 5,9% 18,7% 2023.05.02. 6
ERSTE DPM Global Equity Fund of Funds
HUF HUF 2,7251 2024.04.25. 4,9% 21,4% 25,2% 8,4% 10,5% 7,7% 6,4% 7,4% 2010.03.22. 6
Erste DPM Megatrend Fund of Funds EUR sorozat
EUR EUR 1,231 2024.04.25. 1,9% 19,7% 15,9% -1,1% N/A N/A 5,3% 5,6% 2020.06.23. 6
Erste DPM Megatrend Fund of Funds HUF sorozat
EUR HUF 2,8961 2024.04.25. 3,9% 22,1% 20,9% 1,5% 11,9% 8,3% 8,1% 7,8% 2010.03.22. 6
Erste DPM Megatrend Fund of Funds USD sorozat
USD USD 1,1694 2024.04.25. 0,3% 21,3% 12,6% -4,9% N/A N/A 2,2% 4,2% 2020.06.23. 6
Erste Emerging Markets Stock Cost Averaging Fund of Funds
HUF 1,0985 2024.04.25. 5,9% 9,2% N/A N/A N/A N/A 5,7% 9,9% 2023.07.26. 5
Erste ESG Stock Cost Averaging EUR Fund of Funds
EUR 1,0568 2024.04.25. 3,7% 16,9% 14,3% N/A N/A N/A 2,8% 1,9% 2021.05.07. 6
Erste ESG Stock Cost Averaging Fund of Funds
HUF 1,267 2024.04.25. 5,6% 19,1% 18,9% 7,8% N/A N/A 5,3% 7,6% 2021.01.21. 6
Erste ESG Stock Cost Averaging USD Fund of Funds
USD 0,9701 2024.04.25. 1,8% 17,4% 9,7% N/A N/A N/A -0,8% -1% 2021.05.07. 6
Erste Megatrend Cost Averaging Fund of Funds
HUF 1,1201 2024.04.25. 3% 18,3% 13,5% 2,4% N/A N/A 3,1% 3,3% 2020.11.06. 6
Erste Stock Cost Averaging 3 Fund of Funds
HUF 1,0415 2024.04.25. 2,5% N/A N/A N/A N/A N/A 3,5% 4,2% 2023.11.10. 3
Erste Stock Cost Averaging EUR 2 Fund of Funds
EUR 1,0161 2024.04.25. 1,3% N/A N/A N/A N/A N/A 1,7% 1,6% 2023.11.10. 3
Erste Stock Cost Averaging USD 2 Fund of Funds
USD 1,0128 2024.04.25. 0,7% N/A N/A N/A N/A N/A 1,2% 1,3% 2023.11.10. 3
Erste Stock Global HUF Fund of Funds
HUF HUF 3,1356 2024.04.24. 7,9% 21,7% 27,1% 11,5% 13,1% 11,7% 10,9% 11,3% 2013.08.07. 6
Erste Stock Hungary Index Tracker Equity Investment Fund A sorozat
HUF HUF 3,8589 2024.04.25. 2,1% 17,2% 55,9% 17,4% 10% 14% 8,3% 7,8% 2006.04.26. 6
Erste Stock Hungary Index Tracker Equity Investment Fund D sorozat
HUF HUF 1,8944 2024.04.25. 2,3% 17,7% 57,1% 18,4% N/A N/A 8,6% 18,2% 2020.06.23. 6
Erste Top Stocks HUF Fund of Funds
HUF HUF 1,5443 2024.04.24. 4,1% 20,9% 15% 1% 8,1% N/A 4,1% 6,4% 2017.04.19. 6
Eurizon Central European Equity Sub-Fund HUF-I
HUF 1,884198 2024.04.25. 9,3% 18,2% 35,9% 16,5% 11,6% N/A 8,6% 10,1% 2017.09.19. 0
Eurizon Central European Equity Sub-Fund HUF-A
HUF HUF 3,93089 2024.04.25. 8,7% 17% 33,1% 14,1% 9,4% 6,7% 7,9% 5,4% 1998.05.08. 6
Eurizon Developed Equity Markets Sub-Fund of Funds HUF-I
HUF 2,286932 2024.04.25. 6,8% 18,4% 22,6% 10,9% 13,4% N/A 10,6% 13,4% 2017.09.19. 0
Eurizon Developed Equity Markets Sub-Fund of Funds HUF-A
HUF HUF 3,33981 2024.04.25. 6,3% 17,2% 20,1% 8,7% 11,1% 8,6% 9,8% 4,9% 1999.04.30. 5
Eurizon Emerging Markets Sub-Fund of Funds
HUF HUF 1,3248 2024.04.25. 7,9% 11,9% 13,8% -2,4% 3,2% 3,1% 6,3% 1,7% 2008.03.12. 6
Eurizon European Equity Sub-Fund of Funds EUR A sorozat
EUR 0,013151 2024.04.25. 5,4% 14,3% 13,4% N/A N/A N/A 4,6% 19% 2022.09.26. 6
Eurizon European Equity Sub-Fund of Funds HUF-A sorozat
HUF 1,551826 2024.04.25. 7,1% 17,1% 20,4% 11% 8,3% N/A 7% 7,2% 2017.12.18. 6
Eurizon Index Equity Sub-Fund Eurizon Indexkövető Részvény Részalap "HUF-BGTP" sorozat
HUF 1,204515 2024.04.25. 2,2% 15,7% N/A N/A N/A N/A 8,8% 20,5% 2023.08.07. 5
Eurizon Index Equity Sub-Fund HUF-A
HUF HUF 3,341666 2024.04.25. 1,8% 14,8% 48,1% 13,1% 6,4% 10,9% 8,2% 6,3% 2004.08.31. 6
Generali Amazonas Latin American Equity V/E Investment Fund
USD HUF 1,221023 2024.04.25. 0,9% 14,3% 27,3% 13,3% 5,6% 3,7% -0,2% 1,5% 2010.10.11. 6
Generali Arany Oroszlan International Equity Fund B sorozat
EUR EUR 0,022927 2024.04.25. 6,7% 17,8% 12,7% 7,8% 7% 4,5% 7,8% 7% 2011.10.05. 0
Generali Arany Oroszlan International Equity Fund A sorozat
EUR HUF 1,84539 2024.04.25. 8,8% 20,3% 17,5% 10,6% 11,3% 7,1% 10,7% 2,6% 2000.04.07. 5
Generali Deluxe Equityt Fund
HUF 1,549366 2024.04.25. 8,1% 10,8% 2,6% 5,5% N/A N/A 4,7% 13,4% 2020.11.02. 6
Generali Emerging Market Equity Fund of Funds B sorozat
USD 0,010726 2024.04.25. 3,1% 10,4% 7,5% -7,7% -0,9% -0,4% 0,6% 0,6% 2008.06.12. 6
Generali Emerging Market Equity Fund of Funds A sorozat
USD HUF 1,687408 2024.04.25. 6,8% 11,2% 15,3% -1,4% 4% 4,7% 6,3% 3,4% 2008.07.07. 6
Generali Fonix Far Eastern Equity V/E Investment Fund of Funds
USD, HKD HUF 1,662742 2024.04.25. 7,1% 6,4% 7,9% -5% 2,3% 4,8% 4,7% 3,8% 2010.10.11. 5
Generali Gold Central European Equity Fund A sorozat
EUR, HUF HUF 5,37558 2024.04.25. 9,1% 18,1% 34,9% 14,4% 10,5% 8,1% 8,4% 4,9% 2008.07.16. 5
Generali Gold Central European Equity Fund B sorozat
EUR 0,013689 2024.04.25. 7,1% 15,7% 29,4% 11,5% 6,2% 5,5% 5,6% 5,1% 2011.10.04. 5
Generali IC Asian Equity V/E Investment Fund of Funds
HKD / INR HUF 1,910107 2024.04.25. 7,7% 9,7% 16,8% 2,2% 4,9% 7,7% 7,3% 4,9% 2010.10.11. 5
Generali Innovation Equity Fund D sorozat
HUF 0,96942 2024.04.25. N/A N/A N/A N/A N/A N/A -3,1% -3,1% 2024.03.04. 5
Generali Innovation Equity Fund B sorozat
EUR 0,011118 2024.04.25. 3,5% 23,1% 27% 2,3% N/A N/A 7,8% 3% 2021.03.31. 5
Generali Innovation Equity Fund A sorozat
Egyéb HUF 1,239348 2024.04.25. 5,6% 25,7% 32,5% 5% 12,3% 6,8% 10,6% 1,6% 2010.10.11. 5
Generali Innovation Equity Fund C sorozat
USD 0,010165 2024.04.25. 2% 24,8% 23,5% -1,6% N/A N/A 4,7% 0,1% 2021.03.31. 5
Generali Mustang American Equity Fund A sorozat
USD HUF 4,47789 2024.04.25. 6,4% 19,5% 31,6% 13,7% 15,8% 13,8% 11,6% 9,4% 2007.07.23. 6
Generali Mustang American Equity Fund B sorozat
USD USD 0,034286 2024.04.25. 2,8% 18,6% 22,6% 6,5% 10,4% 8,2% 5,5% 10,1% 2011.10.05. 6
HOLD 2024 Deep Value Open End Investment Fund B sorozat
EUR 0,020088 2024.04.25. 4,7% 15,7% 25,5% 17,4% N/A N/A 6% 17,1% 2019.11.21. 7
HOLD 2024 Deep Value Open End Investment Fund C sorozat
EUR 0,018245 2024.04.25. 4,1% 14,7% 22,7% 14,6% N/A N/A 5,5% 14,6% 2019.11.21. 7
HOLD 2024 Deep Value Open End Investment Fund A sorozat
EUR 0,018894 2024.04.25. 4,3% 15,1% 23,4% 15,4% N/A N/A 5,7% 15,5% 2019.11.21. 7
HOLD CEE Equity Fund
HUF 2,652835 2024.04.25. 9,4% 20,4% 40,3% 18% 13,1% 9,9% 9,7% 6,2% 2008.01.15. 6
HOLD Equity Fund A sorozat
HUF 18,417925 2024.04.25. 9,3% 22,5% 39,2% 19,1% 15,6% 12,6% 10,6% 13,4% 2001.03.29. 5
HOLD Equity Fund B sorozat
EUR 1,926073 2024.04.25. 7,9% 18,9% 28,5% 12,1% N/A N/A 8,7% 20,2% 2020.09.28. 5
HOLD International Equity Fund of Funds A sorozat
HUF 5,717614 2024.04.25. 5,9% 17,6% 25,8% 12,3% 14% 12,3% 9,3% 8,3% 2002.08.01. 6
HOLD International Equity Fund of Funds I sorozat
HUF 1,901349 2024.04.25. 6% 18% 26,3% 12,1% N/A N/A 9,4% 16,5% 2020.05.06. 6
HOLD Yield Searching European Derivatives Share Investment Fund
EUR 13,277535 2024.04.25. 6,3% 17,5% 12,6% 8,3% 2% 1,7% 7,4% 2,6% 2013.04.30. 6
K&H Asia Open-ended Fund
HUF 2,698544 2024.04.23. 12,2% 15,8% 14,5% -0,6% 4,9% 7,7% 10% 5,7% 2006.06.30. 6
K&H BUX Indextracking Fund
HUF HUF 7,439641 2024.04.24. 2,9% 17,4% 49,6% 14% 7% 12,1% 8,7% 8% 1998.01.23. 7
K&H Central European Equity Fund
HUF 3,838328 2024.04.24. 10,9% 22,6% 40,8% 16,8% 10,5% 7,2% 11,7% 6% 1993.12.27. 6
K&H Eco Responsible Investment Open Ended Fund of Funds
HUF 1,837712 2024.04.23. 2,1% 15,2% 1% 2,5% 10,5% 6,8% -3% 3,7% 2007.08.01. 5
K&H Emerging Markets Open-ended Fund of Funds
HUF 2,241796 2024.04.23. 9,9% 12% 13,2% -2% 3,3% 4,8% 6,6% 5,3% 2008.09.29. 6
K&H Emerging Markets Open-ended Fund of Funds I sorozat
HUF 0,995533 2024.04.23. N/A N/A N/A N/A N/A N/A 0,5% 0,5% 2024.03.21. 6
K&H Europe Fund of Funds EUR
EUR 1,864136 2024.04.23. 6,6% 16,2% 8,7% 5,2% 4,7% 4,1% 5,5% 4,4% 2009.11.16. 6
K&H Europe Fund of Funds HUF
HUF 2,181637 2024.04.23. 8% 19,8% 18,4% 13,2% 9,7% 7,2% 7,2% 3,2% 1999.09.30. 6
K&H Europe Fund of Funds HUF I sorozat
HUF 1,022267 2024.04.23. N/A N/A N/A N/A N/A N/A 2% 2% 2024.03.21. 6
K&H USA Open Ended Fund of Funds HUF sorozat
USD HUF 1,924421 2024.04.23. 5,6% 23% 29,2% 9,5% 12% 10% 8,2% 2,9% 2001.02.15. 6
K&H USA Open Ended Fund of Funds I sorozat
USD HUF 0,989326 2024.04.23. N/A N/A N/A N/A N/A N/A -1,6% -1,6% 2024.03.21. 6
K&H USA Open Ended Fund of Funds USD sorozat
USD USD 1,825491 2024.04.23. 4,2% 20,1% 20,1% 1,4% 7,2% N/A 6,2% 7,9% 2016.06.06. 5
MBH Central European Equity Fund E sorozat
HUF/PLN/CZK EUR 0,017145 2024.04.24. 7,3% 16,8% 27,1% 11,3% 4,6% 4% 5,7% 0,8% 2008.02.19. 4
MBH Central European Equity Fund CZK sorozat
HUF/PLN/CZK CZK 1,296215 2024.04.24. 9% 19,8% 36,7% 10,4% 4,2% 3,1% 7,9% 9,9% 2010.12.22. 4
MBH Central European Equity Fund I sorozat
HUF 2,145254 2024.04.24. 9,4% 20,7% 34,8% 15,7% 10,2% N/A 9% 10,7% 2015.10.09. 4
MBH Central European Equity Fund
HUF/PLN/CZK HUF 6,780802 2024.04.24. 9,1% 20% 33,2% 14,3% 8,9% 6,5% 8,6% 7,2% 1996.10.24. 4
MBH Developed Market Equity Fund
HUF/EUR/USD HUF 3,057547 2024.04.24. 5,5% 16% 24,4% 11,7% 15,1% 11,4% 9,8% 4,4% 1998.06.03. 4
MBH Developed Market Equity Fund USD sorozat
USD 2,040866 2024.04.24. 2% 14% 15% 4,4% 9,6% N/A 3,5% 8,3% 2015.10.26. 5
MBH Developed Market Equity Fund I sorozat
HUF 2,329831 2024.04.24. 5,9% 16,7% 25,9% 13,1% 16,5% N/A 10,5% 9% 2018.06.28. 5
MBH Dynamic Europa Equity Fund USD sorozat
HUF/EUR/USD USD 1,321964 2024.04.24. 4,4% 18,2% 6,2% 2,8% N/A N/A 2,7% 8,2% 2020.07.26. 4
MBH Dynamic Europa Equity Fund HUF sorozat
HUF/EUR/USD HUF 1,661893 2024.04.24. 8% 20,2% 14,8% 10% N/A N/A 8,8% 15,3% 2020.07.26. 4
MBH Dynamic Europa Equity Fund EUR sorozat
EUR 1,431014 2024.04.24. 6,2% 16,9% 9,5% 7,1% 6,3% N/A 5,9% 7,1% 2019.02.11. 4
MBH EMEA Equity Fund HUF sorozat
Egyéb HUF 1,190572 2024.04.24. 5,9% 14,3% 12,7% -4,3% 1,4% 2,8% 7,7% 1,3% 2010.12.22. 5
MBH EMEA Equity Fund
Egyéb EUR 0,871428 2024.04.24. 4,2% 11,3% 7,6% -6,9% -2,6% 0,4% 4,9% -0,9% 2008.07.28. 5
MBH EMEA Equity Fund CZK sorozat
Egyéb CZK 0,882396 2024.04.24. 5,9% 14,6% 16,2% -7,4% -2,9% -0,4% 7,2% -20,7% 2010.12.22. 4
MBH Emerging Market Equity Fund USD sorozat
USD 1,005461 2024.04.24. 2,6% 8,6% 6,8% -8,3% N/A N/A -0,1% -0,3% 2020.07.20. 5
MBH Emerging Market Equity Fund I sorozat
HUF 1,39822 2024.04.24. 6,5% 11,1% 16,9% -0,6% 5,4% N/A 6,3% 6,6% 2018.06.28. 5
MBH Emerging Market Equity Fund CZK sorozat
Egyéb CZK 0,999241 2024.04.24. 6,1% 10,2% 18,5% -5,2% -0,4% 2% 5,3% 18% 2010.12.22. 4
MBH Emerging Market Equity Fund
Egyéb HUF 1,443846 2024.04.24. 6,2% 10,5% 15,5% -1,8% 4,2% 5,4% 5,9% 2,6% 2010.04.28. 5
MBH ESG Global Equity Fund USD sorozat
USD USD 1,14692 2024.04.24. 2,7% 14,2% 2,5% -1,9% N/A N/A -0,9% 3,9% 2020.10.05. 4
MBH ESG Global Equity Fund HUF sorozat
USD HUF 1,381249 2024.04.24. 6,2% 16,1% 10,8% 5,1% N/A N/A 5,1% 9,5% 2020.10.05. 4
MBH ESG Global Equity Fund EUR sorozat
USD EUR 1,263691 2024.04.24. 4,5% 13% 5,8% 2,2% N/A N/A 2,2% 6,8% 2020.10.05. 4
MBH ESG New Energy Equity Fund
HUF 1,20108 2024.04.24. 4,8% 6,1% 8,7% 6,9% N/A N/A 2,8% 5,6% 2020.12.01. 4
MBH Global Insurance Equity Fund A sorozat
EUR HUF 1,240913 2024.04.24. 8% 18,3% 25,2% 8,2% 9,8% 7,2% 13,1% 0,9% 2000.03.03. 4
MBH Global Titans Equity Fund of Funds
HUF 2,708156 2024.04.24. 7,1% 18,1% 23% 9,1% 10,3% 6,8% 9,9% 8,3% 2011.08.11. 4
MBH Greening Companies Equity Fund
HUF 1,299179 2024.04.24. 13,5% 15,4% 21,5% N/A N/A N/A 12,8% 7,8% 2021.07.21. 5
MBH NEXT Generation Fund
HUF 1,506983 2024.04.24. 3,4% 12,8% 8,3% 0,6% 6,6% 4,1% 4,3% 4% 2013.10.29. 4
MBH NEXT Healthy Lifestyle Fund EUR sorozat
EUR 0,786255 2024.04.24. 2,4% 4,9% -3% N/A N/A N/A -0,9% -9% 2021.10.11. 3
MBH NEXT Healthy Lifestyle Fund HUF sorozat
HUF 0,863035 2024.04.24. 4,1% 7,8% 1,7% N/A N/A N/A 1,8% -5,7% 2021.10.11. 4
MBH NEXT Healthy Lifestyle Fund USD sorozat
USD 0,728166 2024.04.24. 0,7% 6% -6% N/A N/A N/A -4% -11,6% 2021.10.11. 4
MBH NEXT Technology Fund USD sorozat
EUR,USD USD 1,509569 2024.04.24. 1,5% 18,8% 25,9% -0,8% N/A N/A 3,4% 10,4% 2020.02.28. 5
MBH NEXT Technology Fund HUF sorozat
EUR,USD HUF 1,831066 2024.04.24. 5% 20,9% 36,2% 6,2% N/A N/A 9,6% 15,7% 2020.02.28. 5
MBH North-American Equity Fund
USD HUF 5,379046 2024.04.26. 8,7% 21% 29,2% 11,7% 15,6% 14,4% 12,8% 13,4% 2010.12.10. 5
MBH Scheduled 2 Global Equity Markets Fund of funds HUF sorozat
HUF 1,081747 2024.04.25. 3,2% 7,2% N/A N/A N/A N/A 4,8% 8% 2023.08.29. 4
MBH Scheduled 2 Global Equity Markets Fund of funds USD sorozat
USD 1,054135 2024.04.25. 1,2% 4,1% N/A N/A N/A N/A 1,7% 4,5% 2023.08.29. 4
MBH Scheduled 2 Global Equity Markets Fund of funds EUR sorozat
EUR 1,046744 2024.04.25. 1,6% 4% N/A N/A N/A N/A 2,6% 4,4% 2023.08.29. 4
MBH USA Equity Fund HUF sorozat
HUF 2,61866 2024.04.24. 3,3% 16,9% 23,3% 8,9% 12% 9,7% 5,1% 9,3% 2013.07.17. 5
MBH USA Equity Fund USD sorozat
USD 1,143705 2024.04.24. 2,3% 14,7% 15,2% N/A N/A N/A 3,7% 4,8% 2019.07.26. 4
MFC Equity Genius Investment Fund
USD 26,692509 2024.04.25. -10,2% -10,3% -15,1% -36,4% N/A N/A -22,1% -32,2% 2020.12.01. 6
MFC Equity Mercury Investment Fund
USD 123,544049 2024.04.25. 3,8% 16,3% 12,2% 3,2% N/A N/A 4,1% 6,5% 2020.12.01. 6
MKB Bonus Central European Equity Investment Fund
Egyéb HUF 3,896471 2024.04.26. 9,6% 19,9% 31,4% 14,6% 10% 7,2% 8,9% 7,8% 1994.09.26. 3
MKB Scheduled Investing Developed Equity Markets Fund of funds A sorozat
HUF 1,23762 2024.04.24. 5,8% 15,5% 20,5% N/A N/A N/A 9,2% 19,2% 2023.02.13. 4
OTP Africa Equity Fund B sorozat
HUF 1,262989 2024.04.25. 7,7% 7,9% 4,5% -1% 1,1% 0,5% 7,8% 1,8% 2010.12.20. 4
OTP Africa Equity Fund C sorozat
EUR 0,804895 2024.04.25. 5,5% 5,3% -0,5% -4,2% -3,5% -2,5% 4,7% -1,6% 2010.12.20. 4
OTP Africa Equity Fund A sorozat
HUF 1,145868 2024.04.25. 7,6% 7,5% 3,8% -1,7% 0,4% -0,2% 7,5% 1% 2010.12.20. 4
OTP Asian Real Estate and Infrastructure Security Fund of Funds A sorozat
HUF 2,377748 2024.04.25. 3,2% 8,9% 1% -2% 1,3% 4,7% 1,3% 5,6% 2008.04.28. 4
OTP Asian Real Estate and Infrastructure Security Fund of Funds B sorozat
EUR 1,528479 2024.04.24. 1,6% 7,7% -3% -4,4% -2,5% 2,2% -1% 2,7% 2008.04.28. 4
OTP Central European Equity Fund B sorozat
HUF 1,89874 2024.04.24. 10,6% 23,4% 37,9% N/A N/A N/A 10,9% 29,5% 2022.12.30. 4
OTP Central European Equity Fund I sorozat
EUR 1,957578 2024.04.24. 8,4% 19,6% 32,7% N/A N/A N/A 8,1% 32,5% 2022.12.30. 4
OTP Central European Equity Fund A sorozat
EUR 1,942479 2024.04.24. 8,2% 19,6% 32,1% 6,8% 7,4% 6,6% 7,9% 3,7% 2005.12.21. 4
OTP CETOP Index-Tracking UCITS ETF A sorozat
EUR 10,155691 2024.04.24. N/A N/A N/A N/A N/A N/A 0,8% 0,8% 2024.03.28. 5
OTP Climate Change 130/30 Derivative Equity Fund A sorozat
HUF 2,321444 2024.04.25. 8,5% 21,5% 12,9% 0,1% 14% 11,4% 5,7% 5,3% 2008.01.08. 5
OTP Climate Change 130/30 Derivative Equity Fund B sorozat
EUR 1,500679 2024.04.25. 6,4% 19% 8,3% -2,4% 9,6% 8,8% 3% 5,8% 2008.01.08. 5
OTP Exchange Traded BUX Indextracker Fund
HUF HUF 2548,889471 2024.04.25. 2,3% 15,8% 50,8% 14,7% 8,4% 13,4% 8,8% 5,4% 2006.12.01. 5
OTP Fundman Equity Fund C sor.
EUR EUR 1,296873 2024.04.24. 10,3% 19,9% 29,4% -0,3% 3,2% N/A 9,3% 2,7% 2014.06.06. 5
OTP Fundman Equity Fund B sor.
HUF HUF 1,877568 2024.04.24. 13% 24,4% 36,3% 3,5% 8,7% N/A 12,7% 6,6% 2014.06.06. 5
OTP Fundman Equity Fund A sor.
HUF HUF 1,673196 2024.04.24. 12,7% 23,8% 35,1% 2,4% 7,5% N/A 12,4% 5,4% 2014.06.06. 5
OTP Omega Developed Market Equity Fund of Funds A sorozat
HUF 3,412068 2024.04.25. 4,2% 16,8% 16,3% 5,4% 10,7% 9,8% 5,8% 5,2% 1999.12.16. 4
OTP Omega Developed Market Equity Fund of Funds B sorozat
EUR 2,387301 2024.04.24. 3,7% 15,5% 11,9% 3% 6,7% 7,2% 4,2% 7% 1999.12.16. 4
OTP Planeta Emerging Market Equity Fund of Funds B sorozat
EUR 1,292615 2024.04.25. 6,4% 12,3% 15,8% -5,6% 0,9% 4,4% 4,2% 1,5% 2007.07.02. 4
OTP Planeta Emerging Market Equity Fund of Funds A sorozat
HUF 2,076552 2024.04.24. 9,4% 16% 19,9% -2,9% 5,1% 6,9% 7,5% 4,4% 2007.07.03. 4
OTP Quality Equity Fund B sorozat
HUF 7,415287 2024.04.25. 8,8% 19,9% 41% 14,7% 10,4% 9,6% 9,9% 5,8% 2008.03.12. 4
OTP Quality Open-end Equity Fund
HUF 6,144406 2024.04.25. 8,5% 19,4% 39,9% 13,6% 9,2% 8,4% 9,5% 7% 1997.11.02. 4
OTP Russian Equity Fund A sorozat
HUF 0,031377 2024.04.24. 1,2% 3,1% 8,7% -75,9% -54,6% -28,7% 1,6% -22,3% 2010.08.06. 7
OTP Russian Equity Fund C sorozat
EUR 0,022247 2024.04.24. -0,9% -0,1% 4,1% -76,5% -56,4% -30,5% -1,2% -24,2% 2010.08.06. 7
OTP Russian Equity Fund B sorozat
HUF 0,034841 2024.04.24. 1,4% 3,5% 9,5% -75,7% -54,3% -28,2% 1,8% -23,2% 2010.08.06. 7
OTP Russian Equity Fund IL A sorozat
HUF 0,087238 2024.04.24. 2,8% 1,2% 19,9% N/A N/A N/A 11,7% 15,3% 2023.03.24. 7
OTP Russian Equity Fund IL B sorozat
HUF 0,09612 2024.04.24. 2,8% 1,2% 19,9% N/A N/A N/A 11,7% 15,3% 2023.03.24. 7
OTP Russian Equity Fund IL C sorozat
EUR 0,061852 2024.04.24. 0,6% -2% 14,8% N/A N/A N/A 8,7% 13,8% 2023.03.24. 7
OTP Turkish Equity Fund A sorozat
HUF 1,391558 2024.04.24. 21,4% 22,6% 43,5% 40,4% 21,6% 4,4% 32,5% 2,4% 2010.08.06. 6
OTP Turkish Equity Fund C sorozat
EUR 0,98662 2024.04.24. 18,8% 18,7% 37,5% 36,7% 16,7% 1,9% 28,9% -0,1% 2010.08.06. 6
OTP Turkish Equity Fund B sorozat
HUF 1,546504 2024.04.24. 21,6% 22,9% 44,2% 41,2% 22,3% 5,1% 32,7% 3,8% 2010.08.06. 6
OTP West-Europe Equity Fund I sorozat
EUR 1,075938 2024.04.24. 8% 20,4% 13,1% N/A N/A N/A 8,9% 3,4% 2021.12.31. 4
OTP West-Europe Equity Fund B sorozat
EUR 1,048443 2024.04.24. 7,6% 19,7% 11,7% N/A N/A N/A 8,5% 2,2% 2021.12.31. 4
OTP West-Europe Equity Fund A sorozat
HUF 1,115061 2024.04.24. 10% 23,6% 16,6% N/A N/A N/A 11,5% 5,1% 2021.12.31. 4
Raiffeisen Equity Fund B sorozat
HUF 4,385733 2024.04.26. 9,8% 19,4% 35,3% 16,7% 10,8% N/A 9,9% 8,3% 2017.08.21. 5
Raiffeisen Equity Fund Q sorozat
HUF 1,772979 2024.04.26. 10,2% 20,2% 37,3% 18,5% N/A N/A 10,4% 13,5% 2019.09.25. 5
Raiffeisen Equity Fund R sorozat
HUF 1,905105 2024.04.26. 10,2% 20,2% 37,3% 18,4% 12,4% N/A 10,4% 10,3% 2017.09.22. 5
Raiffeisen Equity Fund A sorozat
HUF 4,334917 2024.04.26. 9,8% 19,4% 35,3% 16,7% 10,8% 8,3% 9,9% 5,7% 1997.11.21. 5
Raiffeisen ESG International Equity Fund of Funds B sorozat
HUF 5,786017 2024.04.26. 5% 18,1% 14,2% 5,2% 8,1% N/A 7,9% 7,7% 2010.10.27. 5
Raiffeisen ESG International Equity Fund of Funds Q sorozat
HUF 1,5402 2024.04.26. 5,3% 19% 15,9% 6,8% N/A N/A 8,5% 9,8% 2019.09.20. 5
Raiffeisen ESG International Equity Fund of Funds E sorozat
EUR 1,232249 2024.04.26. 3% 15,7% 9,5% 2,4% 3,9% N/A 4,9% 3,2% 2018.01.05. 5
Raiffeisen ESG International Equity Fund of Funds A sorozat
HUF 5,788328 2024.04.26. 5% 18,1% 14,2% 5,2% 8,1% 7,9% 7,9% 4,3% 1999.01.19. 5
Raiffeisen ESG International Equity Fund of Funds U sorozat
USD 1,00744 2024.04.26. 1,5% 17,5% 6,7% N/A N/A N/A 1,1% 1,1% 2022.02.18. 5
Raiffeisen Megatrend ESG Equity Fund of Funds A sorozat
HUF 1,545121 2024.04.26. 7% 19,4% 15,2% 1,8% 2% 1,3% 9,1% 2,6% 2007.03.30. 6
Raiffeisen Megatrend ESG Equity Fund of Funds Q sorozat
HUF 1,1443 2024.04.26. 7,1% 19,8% 16% 2,6% N/A N/A 9,3% 2,9% 2019.09.12. 6
Raiffeisen Megatrend ESG Equity Fund of Funds U sorozat
USD 0,852817 2024.04.26. 3,2% 18,4% 7,1% N/A N/A N/A 2% -6% 2021.08.23. 6
Raiffeisen Megatrend ESG Equity Fund of Funds E sorozat
EUR 0,943344 2024.04.26. 4,9% 16,9% 10,4% N/A N/A N/A 5,9% -2,3% 2021.08.23. 6
Raiffeisen Megatrend ESG Equity Fund of Funds B sorozat
HUF 1,545244 2024.04.26. 7% 19,4% 15,2% 1,8% 2% N/A 9,1% 1,5% 2010.10.27. 6
Takarék Adria Central European Equity Investment Fund
HUF 1,410359 2024.04.25. 10,2% 20,6% 37% 16,9% 8,4% N/A 10,6% 5,5% 2017.10.20. 4
Takarék Apollo Derivatives Share Investment Fund
HUF/EUR/USD HUF 2,370862 2024.04.25. 7,5% 18,2% 19,3% 10,6% 12,7% N/A 10,2% 11,1% 2016.01.13. 4
Takarék BUX Index Tracker Equity Investment Fund
HUF HUF 1,520926 2024.04.25. 2,4% 15,3% 49,1% 13,3% 7,7% N/A 8,6% 6,9% 2017.12.14. 5
VIG Central European Equity Fund EI sorozat
EUR 1,56965 2024.04.24. 10% 22,2% 36,1% N/A N/A N/A 7,5% 38% 2022.07.18. 6
VIG Central European Equity Fund Pi sorozat
PLN 1,154291 2024.04.24. 8,6% 18,8% 28% N/A N/A N/A 6,9% 5,9% 2021.09.14. 0
VIG Central European Equity Fund I sorozat
Egyéb HUF 10,536412 2024.04.24. 12,4% 26,7% 42,7% 18% 11% 8,7% 10,6% 6,7% 2011.01.04. 6
VIG Central European Equity Fund UI sorozat
USD 1,655193 2024.04.24. 7,8% 22,6% 32,1% N/A N/A N/A 3,9% 46,6% 2022.07.18. 6
VIG Central European Equity Fund C sorozat
Egyéb CZK 1,501313 2024.04.24. 10% 21,3% 33,7% 9,5% 3,3% N/A 7,7% 5,1% 2016.09.01. 0
VIG Central European Equity Fund B sorozat
Egyéb EUR 6,381652 2024.04.24. 9,8% 22,1% 35,1% 13,6% 5,5% 5,1% 7,3% 1,7% 2007.10.26. 6
VIG Central European Equity Fund A sorozat
Egyéb HUF 9,384121 2024.04.24. 12,2% 26,1% 41,1% 16,7% 9,9% 7,7% 10,4% 8,9% 1998.03.16. 6
VIG Emerging Market ESG Equity Investment Fund A sorozat
EUR,USD HUF 2,251524 2024.04.24. 7,3% 20,2% 20,5% -0,9% 5% 7% 9,1% 4,9% 2007.05.04. 6
VIG Emerging Market ESG Equity Investment Fund UI sorozat
USD 1,146575 2024.04.24. 3,3% 17,7% 13,6% N/A N/A N/A 3,1% 7,7% 2022.05.18. 6
VIG Emerging Market ESG Equity Investment Fund U sorozat
USD 1,16513 2024.04.24. 2,9% 16,8% 12% -7,3% N/A N/A 2,6% 4,1% 2020.05.26. 6
VIG Emerging Market ESG Equity Investment Fund EI sorozat
EUR 1,084164 2024.04.24. 5,4% 17,3% 17% N/A N/A N/A 6,6% 5% 2022.05.18. 6
VIG Emerging Market ESG Equity Investment Fund C sorozat
CZK 1,10822 2024.04.24. 3,1% 17,3% 13,4% -4% N/A N/A 3% 2% 2020.06.16. 6
VIG Emerging Market ESG Equity Investment Fund P sorozat
PLN 1,125459 2024.04.24. 3,7% 12,7% 8% -5,3% N/A N/A 5,3% 2,4% 2020.06.16. 6
VIG Emerging Market ESG Equity Investment Fund B sorozat
EUR,USD EUR 1,436035 2024.04.24. 5% 16,4% 15,4% -3,5% 0,8% 4,4% 6,1% 1,2% 2007.10.29. 6
VIG Emerging Market ESG Equity Investment Fund Pi sorozat
PLN 1,155776 2024.04.24. 4% 13,5% 9,5% -4,1% N/A N/A 5,8% 3,6% 2020.06.09. 6
VIG Emerging Market ESG Equity Investment Fund R sorozat
HUF 1,40071 2024.04.24. 7,8% 21,2% 22,4% 0,5% N/A N/A 9,6% 8,4% 2020.06.02. 6
VIG Emerging Market ESG Equity Investment Fund I sorozat
HUF 1,38901 2024.04.24. 7,7% 21,1% 22,2% 0,4% N/A N/A 9,6% 9,2% 2020.05.19. 6
VIG Hungarian Index Tracker Equity Sub-Fund R sorozat
HUF 1,118504 2024.04.24. 4,8% 15,8% 23,1% N/A N/A N/A 6,2% 4,7% 2021.11.09. 5
VIG Hungarian Index Tracker Equity Sub-Fund B sorozat
HUF 1,090832 2024.04.24. 4,5% 15,2% 21,8% N/A N/A N/A 5,8% 3,6% 2021.11.09. 5
VIG InnovationTrend ESG Equity Investment Fund I sorozat
HUF 0,995318 2024.04.24. N/A N/A N/A N/A N/A N/A -0,5% -0,5% 2024.02.26. 5
VIG MegaTrend Equity Investment Fund R sorozat
HUF 1,596512 2024.04.24. 5,9% 21,1% 23,6% 4,2% N/A N/A 10,2% 12,4% 2020.06.02. 6
VIG MegaTrend Equity Investment Fund EI sorozat
EUR 0,011136 2024.04.24. 3,5% 17,1% 18% N/A N/A N/A 7% 6,9% 2022.05.05. 5
VIG MegaTrend Equity Investment Fund Pi sorozat
PLN 1,313551 2024.04.24. 2,2% 13,3% 10,5% -0,7% N/A N/A 6,3% 7,3% 2020.06.09. 6
VIG MegaTrend Equity Investment Fund U sorozat
USD 1,34153 2024.04.24. 1,1% 16,8% 13,2% -3,9% N/A N/A 3,1% 7,6% 2020.05.19. 5
VIG MegaTrend Equity Investment Fund C sorozat
CZK 1,207594 2024.04.24. 1,4% 16,9% 13,8% N/A N/A N/A 3,6% 15% 2022.09.13. 5
VIG MegaTrend Equity Investment Fund B sorozat
Egyéb HUF 2,110661 2024.04.24. 5,5% 20,2% 21,8% 2,8% 10,9% 7,6% 9,7% 5,8% 2008.09.10. 6
VIG MegaTrend Equity Investment Fund I sorozat
HUF 1,604204 2024.04.24. 5,8% 20,9% 23,3% 3,9% N/A N/A 10,1% 12,9% 2020.05.19. 6
VIG MegaTrend Equity Investment Fund A sorozat
Egyéb EUR 0,012803 2024.04.24. 3,2% 16,4% 16,7% 0,1% 6,5% 5% 6,7% 1,5% 2007.07.09. 6
VIG MegaTrend Equity Investment Fund UI sorozat
USD 1,165037 2024.04.24. 1,4% 17,5% 14,6% N/A N/A N/A 3,5% 7,6% 2022.05.05. 5
VIG MegaTrend Equity Investment Fund P sorozat
PLN 1,281415 2024.04.24. 1,9% 12,7% 9,2% -1,8% N/A N/A 5,9% 6,2% 2020.06.16. 6
VIG Opportunity Developed Market Equity Investment Fund B sorozat
Egyéb EUR 1,901594 2024.04.24. 5,4% 17,4% 21% 8,3% 9,4% 8,1% 8,1% 3,8% 2007.10.26. 6
VIG Opportunity Developed Market Equity Investment Fund I sorozat
HUF 3,426858 2024.04.24. 8,1% 21,9% 27,8% 12,4% 15,1% 11,8% 11,6% 12,4% 2013.08.16. 6
VIG Opportunity Developed Market Equity Investment Fund
Egyéb HUF 2,982931 2024.04.24. 7,8% 21,2% 26,3% 11,2% 13,9% 10,8% 11,1% 4,5% 1999.04.21. 6
VIG Polish Stock Investment Fund B sorozat
HUF 1,960134 2024.04.24. 16,2% 30,7% 50% 14,8% 6,8% 4,6% 10,7% 5,6% 2012.01.03. 6
VIG Polish Stock Investment Fund I sorozat
PLN 1,648624 2024.04.24. 12,6% 23,4% 36,4% 11,4% 3,7% 3% 7,4% 4,1% 2011.11.18. 6
VIG Polish Stock Investment Fund A sorozat
PLN 1,135885 2024.04.24. 12,2% 22,5% 34,5% 9,8% N/A N/A 6,9% 4,1% 2019.01.22. 6
VIG Russia Equity Investment Fund
USD HUF 0,192551 2024.04.24. 1,3% 2,9% 8,6% -61,5% -40,6% -19,7% 1,6% -10,2% 2008.12.04. 7
VIG Russia Equity Investment Fund PI sorozat
PLN 0,07295 2024.04.24. 0% 0% 0% -62,6% -42% -21,3% 0% -22,4% 2013.12.30. 6
VIG Russia Equity Investment Fund PIIL sorozat
PLN 0,199989 2024.04.24. 16,2% 29,4% 54% N/A N/A N/A 27,4% 45,4% 2023.03.23. 7
VIG Russia Equity Investment Fund IIL sorozat
HUF 0,617305 2024.04.24. 20,3% 38,1% 71,8% N/A N/A N/A 31,9% 59,8% 2023.03.23. 7
VIG Russia Equity Investment Fund PIL sorozat
PLN 0,211841 2024.04.24. 16,2% 29,4% 54% N/A N/A N/A 27,4% 45,4% 2023.03.23. 7
VIG Russia Equity Investment Fund AIL sorozat
HUF 0,550823 2024.04.24. 20,3% 38,1% 71,8% N/A N/A N/A 31,9% 59,8% 2023.03.23. 7
VIG Russia Equity Investment Fund P sorozat
PLN 0,074044 2024.04.24. -2,1% -3,5% -2,6% -63,2% -42,9% -21,4% -1,9% -19,7% 2012.06.18. 6
VIG Russia Equity Investment Fund I sorozat
USD HUF 0,198986 2024.04.24. 0% 0% 0,1% -62,4% -41,2% -19,7% 0% -16,6% 2010.12.10. 7
VIG SocialTrend ESG Equity Investment Fund I sorozat
HUF 0,989606 2024.04.24. N/A N/A N/A N/A N/A N/A -1% -1% 2024.02.29. 4
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Guaranteed funds
Eurizon 30 Capital Protected Derivative Sub-Fund
HUF 1,2004 2024.04.25. 0,2% 5,8% 15,6% N/A N/A N/A 1,1% 13,2% 2022.11.02. 2
Eurizon Artificial Intelligence Capital Protected Derivative Sub-Fund
HUF 1,0002 2024.04.25. N/A N/A N/A N/A N/A N/A 0% 0% 2024.04.22. 2
Eurizon Chemicals Capital Protected Derivative Sub-Fund
HUF 1,2281 2024.04.25. 2,7% 10,2% 12,6% N/A N/A N/A -0,1% 14,4% 2022.10.03. 2
Eurizon Dollar Start Short Bond Sub- Fund
USD USD 0,011485 2024.04.26. 1% 2,1% 4,1% 2,1% 1,9% N/A 1,3% 1,8% 2016.08.05. 1
Eurizon Euro Start Capital Guaranteed Sub- Fund
EUR EUR 0,012971 2024.04.26. 0,7% 1,5% 3,1% 1,4% 1% 0,7% 1% 1,4% 2005.09.26. 1
Eurizon Eurpoean Stars Capital Protected Derivative Sub-Fund
HUF 1,1649 2024.04.25. 0,8% 7,7% 13,1% N/A N/A N/A 1,2% 14,2% 2023.03.01. 2
Eurizon Finance Capital Protected Derivative Sub-Fund
HUF 1,5008 2024.04.25. 2,2% 9,6% 20,3% N/A N/A N/A 3,3% 26,3% 2022.07.25. 2
Eurizon Food & Beverage Capital Protected Derivative Sub-Fund
HUF 1,0156 2024.04.25. -0,3% 2,4% 0,7% N/A N/A N/A -0,5% 0,7% 2022.03.21. 2
Eurizon HU Euro Trio Capital Protected Derivative Sub-Fund
EUR 0,009728 2024.04.25. N/A N/A N/A N/A N/A N/A -2,7% -2,7% 2024.02.05. 2
Eurizon HU Global Equity Capital Protected Derivative Sub-Fund
HUF 1,0069 2024.04.25. N/A N/A N/A N/A N/A N/A 0,7% 0,7% 2024.02.05. 2
Eurizon HU Telecommunications Capital Protected Derivative Sub-Fund
HUF 1,049 2024.04.25. -1,9% 5,4% N/A N/A N/A N/A -0,1% 4,9% 2023.09.04. 2
Eurizon Profitmix 2024 Capital Protected Derivative Sub-Fund
HUF 1,2474 2024.04.25. 3,2% 12,1% 11,9% N/A N/A N/A 3,9% 12,4% 2022.05.30. 2
Eurizon Profitmix 2025 Capital Protected Derivative Sub-Fund
HUF 1,0175 2024.04.25. 0,3% 3,6% 9,7% N/A N/A N/A 1% 0,8% 2022.01.17. 2
Eurizon Start Capital Protected Sub-Fund
HUF HUF 2,101984 2024.04.26. 1,7% 3,7% 9% 6,2% 3,9% 2,2% 2,2% 3,9% 2005.02.24. 1
K&H Capital Garanteed Pharmaceutical 5 Derivative Closed-ended Fund
HUF 12098,259826 2024.04.24. 2,4% 6,2% 15,4% 4,5% 3,9% N/A 4,5% 3,8% 2019.02.13. 0
K&H Capital Guaranteed International Team 7 Derivative Closed End Fund
HUF 10462,330768 2024.04.24. 3,3% 8,3% 17,2% 1,2% N/A N/A 4,5% 1% 2019.05.22. 0
OTP Energiatrend Return Protected Closed-End Fund
HUF 10152,783573 2024.04.25. 1,3% 5% 4,1% N/A N/A N/A 0,1% 1,3% 2023.02.23. 3
OTP Megatrend II. Return Protected Closed-End Fund
HUF 11593,570787 2024.04.24. 4,5% 17,8% N/A N/A N/A N/A 8,8% 15,9% 2023.06.30. 2
OTP Megatrend Return Protected Closed-End Fund
HUF 10598,670433 2024.04.25. 0% 4% 8,8% N/A N/A N/A 0,2% 5,1% 2023.02.23. 3
OTP Ökotrend Return Protected Closed-End Fund
HUF 9998,294479 2024.04.25. -0,3% N/A N/A N/A N/A N/A -0,4% 0% 2023.11.14. 2
VIG Ozone Annual Capital Guaranteed Investment Fund I sorozat
HUF 1,181917 2024.04.25. 1,6% 4,5% 13,3% N/A N/A N/A 2,2% 13,6% 2023.01.02. 2
VIG Ozone Annual Capital Guaranteed Investment Fund
HUF HUF 2,027526 2024.04.25. 1,3% 3,9% 12,1% 6,9% 4,2% 2,7% 1,9% 4,2% 2007.03.20. 2
VIG Rise of the Robots Yield Protected Closed-ended Investment Fund A sorozat
HUF 0,989782 2024.04.24. -2,5% N/A N/A N/A N/A N/A -2,9% -2,9% 2023.11.17. 3
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Absolute return
Accorde Abacus Fund
HUF 1,752056 2024.04.24. 6% 15,5% 28,9% 18,5% 15% N/A 7,7% 7,1% 2016.02.16. 0
Accorde Abacus Fund C sorozat
USD 1,238882 2024.04.24. 5,3% 13,7% 22,3% N/A N/A N/A 6,4% 17,2% 2022.11.28. 5
Accorde Bond Fund
HUF 1,296557 2024.04.24. 2% 7,8% 16,8% N/A N/A N/A 3% 14,1% 2022.05.02. 5
Accorde Eclecticism Fund of Funds A sorozat
HUF 1,576688 2024.04.24. 4,1% 11,6% 22,2% 12,5% 9,6% N/A 5,3% 5,8% 2016.03.02. 0
Accorde Eclecticism Fund of Funds B sorozat
EUR 1,207343 2024.04.24. 3,2% 8,4% 12,4% 4,5% 4,5% N/A 3,7% 2,3% 2016.03.02. 0
Accorde Eclecticism Fund of Funds C sorozat
USD 1,388082 2024.04.24. 3,6% 9,3% 14,1% 6% 6,2% N/A 4,1% 4,2% 2016.03.02. 0
Accorde Eurobond Fund
EUR 1,072224 2024.04.24. 1,2% 5,4% N/A N/A N/A N/A 1,8% 7,2% 2023.05.08. 5
Accorde Forza Fund of Funds B sorozat
EUR 1,188785 2024.04.24. 2,7% 6,8% 9,9% 3,4% 3,9% N/A 3,3% 2,1% 2016.03.02. 0
Accorde Forza Fund of Funds A sorozat
HUF 1,549975 2024.04.24. 3,6% 9,9% 19,6% 11,4% 9% N/A 4,8% 5,5% 2016.03.02. 0
Accorde Forza Fund of Funds C sorozat
USD 1,355663 2024.04.24. 3% 7,8% 12% 4,8% 5,7% N/A 3,7% 3,9% 2016.03.02. 0
Accorde Prism Fund
HUF 1,649426 2024.04.24. 3,9% 11,8% 22,9% 12,3% 9,4% N/A 5,2% 6,3% 2016.02.16. 0
Accorde Prism Fund B sorozat
EUR 1,251678 2024.04.24. 2,9% 9% 13,9% 5,2% 4,8% N/A 3,7% 4,2% 2018.11.29. 0
Accorde Prism Fund I sorozat
HUF 1,569868 2024.04.24. 3,9% 11,7% 22,8% 13,2% N/A N/A 5,2% 12,6% 2020.07.01. 0
Accorde Sharp Derivative Sub-Fund I sorozat
HUF 1,470449 2024.04.24. 4,3% 12,3% 22,6% 10,4% N/A N/A 5,5% 10,7% 2020.07.01. 0
Accorde Sharp Derivative Sub-Fund B sorozat
EUR 1,153833 2024.04.24. 3,1% 10% 14,2% 2,5% N/A N/A 3,6% 3,8% 2020.07.01. 0
Accorde Sharp Derivative Sub-Fund
HUF 1,413522 2024.04.24. 4,1% 11,9% 21,6% 9,5% 8,1% N/A 5,2% 4,6% 2016.08.08. 0
Accorde Total Return Bond Fund of Funds B sorozat
EUR 1,228618 2024.04.24. -1% 1% 2,5% 6,1% 3,9% N/A -1,3% 3,2% 2017.09.18. 0
Accorde Total Return Bond Fund of Funds A sorozat
HUF 1,517011 2024.04.24. -0,1% 3,7% 10,6% 12,4% 8% N/A 0,2% 6,5% 2017.09.18. 0
ActivityFund Absolute Return Dervative Investment Fund
HUF 1,050527 2024.04.25. 6,5% 9,6% 10,6% N/A N/A N/A 10,5% 1,8% 2021.06.29. 0
ADÜTON Derivatives Investment Fund C sorozat EUR
EUR 1,06795 2024.04.25. 6,3% N/A N/A N/A N/A N/A 6,8% 6,8% 2024.01.22. 3
ADÜTON Derivatives Investment Fund D sorozat EUR
EUR 1,060817 2024.04.25. 5,6% N/A N/A N/A N/A N/A 6,1% 6,1% 2024.01.22. 3
ADÜTON Derivatives Investment Fund A sorozat HUF
HUF 2,174635 2024.04.25. 7,6% 13,9% 19,3% 16,3% 13,8% N/A 10,1% 9,6% 2015.10.14. 5
ADÜTON Derivatives Investment Fund B sorozat HUF
HUF 1,074149 2024.04.25. 6,9% N/A N/A N/A N/A N/A 7,4% 7,4% 2024.01.22. 3
Alpha Norma Absolute Outbound Derivative Fund P sorozat
HUF 1,255439 2024.04.25. 1,8% 5,9% 13,3% 6% 4,6% N/A 2,4% 3,7% 2018.01.16. 0
Alpha Norma Absolute Outbound Derivative Fund A sorozat
HUF 1,236477 2024.04.25. 1,8% 5,7% 13% 5,7% 4,4% N/A 2,3% 3,4% 2018.01.16. 0
Alpha Orion Absolute Outbound Derivative Fund P sorozat
HUF 1,231193 2024.04.25. 2,1% 7% 15,2% 4,6% 4,1% N/A 2,6% 3,4% 2018.01.16. 0
Alpha Orion Absolute Outbound Derivative Fund A sorozat
HUF 1,218414 2024.04.25. 2,1% 7,7% 15,2% 4,4% 4% N/A 2,6% 3,2% 2018.01.16. 0
Amundi Explorer Absolute Return Fund I sorozat
HUF 2,058787 2024.04.25. 3,7% 9,2% 19,6% 13,3% 7,5% N/A 4,3% 6,2% 2015.09.30. 0
Amundi Explorer Absolute Return Fund A sorozat
HUF 1,915615 2024.04.25. 3,3% 8,4% 18% 11,9% 6,3% N/A 3,9% 5,2% 2015.09.30. 0
Amundi Regatta Plus Total Return Fund C sorozat
HUF 1,489412 2024.04.25. 3,7% 9,5% 19,4% 5% 3,9% N/A 3,5% 3% 2012.06.21. 0
Amundi Regatta Plus Total Return Fund A sorozat
Egyéb HUF 1,468969 2024.04.25. 3,7% 9,4% 19,3% 4,8% 3,7% 2,7% 3,4% 3,3% 2012.06.21. 0
Axiom Aplus Derivative Fund
HUF 0,510095 2024.04.25. -0,9% 10% 18,6% 8,9% -13,3% N/A -1,9% -11% 2018.07.13. 7
Citadella Derivative Investment Fund A sorozat
HUF 3,445765 2024.04.25. 7,6% 16,9% 25,7% 10,5% 10,2% 8,8% 11,8% 8,7% 2009.06.30. 4
Citadella Derivative Investment Fund B sorozat
HUF 1,726589 2024.04.25. 8,4% 18,8% 28,3% 11,5% 11,1% N/A 13,1% 7,8% 2017.01.04. 4
Citadella Derivative Investment Fund C sorozat
EUR 1,161137 2024.04.25. 6,2% 13,7% 17% 4,2% N/A N/A 9,8% 4,6% 2021.01.14. 4
Convexity Derivative Sub-Fund B sorozat EUR sorozat
EUR 0,943185 2024.04.25. 7,4% 5% 13,3% N/A N/A N/A 9,2% -2,2% 2021.08.16. 0
Convexity Derivative Sub-Fund D sorozat HUF sorozat
HUF 1,203081 2024.04.25. 9,8% 8,4% 24,7% N/A N/A N/A 11,1% 7,4% 2021.08.16. 0
Convexity Derivative Sub-Fund C sorozat USD sorozat
USD 1,00921 2024.04.25. 7,2% 5,6% 15,1% N/A N/A N/A 9,4% 0,4% 2021.08.16. 0
Convexity Derivative Sub-Fund A sorozat HUF sorozat
HUF 1,158575 2024.04.25. 8% 6,5% 21,8% N/A N/A N/A 9,1% 5,9% 2021.08.16. 0
Creditum Derivative Investment Fund A sorozat HUF
HUF 1,158403 2024.04.25. 6,9% 13,6% N/A N/A N/A N/A 8,1% 16% 2023.07.03. 2
Creditum Derivative Investment Fund B sorozat EUR
EUR 1,094071 2024.04.25. 5,1% 10,8% N/A N/A N/A N/A 6,6% 9,4% 2023.07.03. 2
Creditum Derivative Investment Fund C sorozat USD
USD 1,11243 2024.04.25. 5,1% 11,6% N/A N/A N/A N/A 7,2% 11,2% 2023.07.03. 2
DIALÓG EURO Derivative Investment Fund
Egyéb EUR 0,010389 2024.04.25. 1,4% -2,5% -0,2% 2,1% -0,5% -1,5% -0,1% 0,3% 2010.05.04. 0
Dialóg Focus Derivative Fund
Egyéb HUF 1,085907 2024.04.25. 1,7% 4,9% 10,3% 6,8% 4,5% 2,6% 2,2% 0,5% 2008.03.20. 0
DIALÓG Fűzfa EUR Total Return Subfund
EUR 0,010169 2024.04.25. 0,9% 2,6% 4% N/A N/A N/A 0,8% 3,2% 2023.01.02. 5
DIALÓG Octopus Derivative Investment Fund EUR sorozat
Egyéb EUR 0,007953 2024.04.25. 0% 0% 0% 0,4% -0,7% -2,5% 0% -2,2% 2014.02.17. 0
DIALÓG Octopus Derivative Investment Fund
Egyéb HUF 1,362324 2024.04.25. 4,6% 4,7% 8,7% 7,9% 6,3% 1% 4,1% 2,3% 2010.09.17. 0
DIALÓG PANGEA Total Return Investment Fund A sorozat
HUF HUF 1,76887 2024.04.25. 4,4% 10,6% 17% 5,6% 5% 2,4% 4,9% 3,6% 2008.03.20. 0
DIALÓG PANGEA Total Return Investment Fund I sorozat
HUF 1,093496 2024.04.25. 0% 0% 0% -0,7% 1,7% N/A 0% 0,8% 2014.02.17. 0
Diófa EuroPlus Investment Fund I sorozat
EUR 1,008902 2024.04.24. 0,8% N/A N/A N/A N/A N/A 0,9% 0,9% 2024.01.11. 1
Diófa EuroPlus Investment Fund A sorozat
EUR 1,007355 2024.04.24. 0,7% N/A N/A N/A N/A N/A 0,7% 0,7% 2024.01.11. 1
Diófa InterestPlus Investment Fund A sorozat
HUF/EUR/USD HUF 1,366663 2024.04.24. 1,8% 4,4% 12,3% 6,1% 5,2% N/A 2,3% 3,6% 2015.08.10. 1
Diófa InterestPlus Investment Fund I sorozat
HUF/EUR/USD HUF 1,939753 2024.04.24. 2% 4,6% 13% 6,8% 5,9% 4,8% 2,5% 5,8% 2012.06.22. 1
Diófa WM-1 Investment Subfund
HUF/EUR/USD HUF 1,574848 2024.04.24. 1,8% 5,6% 15,1% 9,5% 6,9% N/A 2,5% 4,7% 2014.07.14. 2
Diófa WM-2 Investment Subfund
HUF/EUR/USD HUF 1,675402 2024.04.24. -0,5% 8,4% 19,4% 10% 7,3% N/A 0,6% 5,4% 2014.07.14. 2
Diófa WM-3 Investment Subfund
HUF/EUR/USD HUF 1,837573 2024.04.24. 3% 8,4% 18,2% 7% 8,9% N/A 4,6% 6,4% 2014.07.14. 3
Equilor Fregatt Derivatives Investment Fund
HUF 1,429158 2024.04.25. 1,9% 6,9% 12,7% 5,9% 4,3% 2,6% 2,9% 3,2% 2012.12.04. 5
EQUILOR Hydra Derivative Investment Fund
HUF 1,341454 2024.04.25. 3,1% 3,3% 15,6% 9,9% 6,5% N/A 4,6% 4,7% 2017.12.18. 5
EQUILOR Magnus EUR Derivatives Investment Fund
EUR 0,008171 2024.04.25. -0,3% -2,2% -5,2% -4,3% -0,6% N/A 0,6% -2,3% 2015.06.16. 4
EQUILOR Optimus Investment Fund of Funds B sorozat
EUR 1,156433 2024.04.25. 0,9% 5,2% 9,5% 3,4% N/A N/A 0,5% 3,9% 2020.07.01. 5
EQUILOR Optimus Investment Fund of Funds C sorozat
USD 1,1027 2024.04.25. -0,7% 6,6% 6,4% -0,6% N/A N/A -2,5% 2,6% 2020.07.01. 6
EQUILOR Optimus Investment Fund of Funds
HUF 1,368155 2024.04.25. 2,6% 6,6% 13,4% 5,8% 5,6% N/A 2,9% 3,8% 2015.11.27. 4
Equilor Primus Fund of Funds
HUF 1,036636 2024.04.25. 1,5% 4,9% 9,6% 3,9% -1,4% -0,7% 2,1% 0,3% 2012.12.04. 4
Equilor Primus Fund of Funds B sorozat
USD 0,973133 2024.04.25. -2% 4,2% 2,1% -2,7% N/A N/A -3,4% -0,7% 2020.05.05. 5
EQUILOR Private Wealth Management Derivative Investment Fund
HUF HUF 1,397329 2024.04.25. 2% 5,8% 14% 7,5% 6,2% 3% 2,5% 3% 2012.11.26. 4
EQUILOR Progressive Derivative Investment Fund
HUF 1,170694 2024.04.25. -3,2% -1,7% 1,5% 1% N/A N/A -2,5% 4,5% 2020.04.08. 5
Erste DPM Open-ended Alternative Fund of Funds
HUF HUF 1,5455 2024.04.25. 5,5% 10,3% 14,8% 7,5% 5,1% 2,7% 6,4% 2,6% 2007.04.17. 4
Erste Local Strategy Investment Fund
HUF HUF 3,0154 2024.04.25. 4,4% 25,4% 74,1% 18,6% 11,3% 6,9% 7,7% 6,7% 2007.04.17. 4
Eurizon ESG Talentum Total Return Sub-Fund of Funds
HUF 1,2491 2024.04.25. 2% 10,5% 15,2% 5,9% 5,1% N/A 2,4% 3,1% 2017.01.26. 4
Eurizon Euro ESG Talents Total Return Sub-Fund of Funds
EUR 0,009826 2024.04.25. 0,7% 7,3% 5,7% -1,1% 0,6% N/A 0,5% -0,3% 2017.05.11. 4
Generali Selection Fund A sorozat
Egyéb HUF 2,014469 2024.04.25. 1,3% 7,9% 17% 8,5% 6,8% 4,7% 2,6% 4,5% 2008.07.07. 3
Generali Selection Fund B sorozat
USD HUF 1,611883 2024.04.25. 1,5% 8,5% 18% 9,2% 7,6% N/A 2,9% 5,6% 2008.07.03. 3
Generali Spirit Abszolute Derivative Fund A sorozat
Egyéb HUF 1,849852 2024.04.25. 3,4% 12% 21,4% 9,6% 7% 5% 5,3% 4% 2008.07.07. 3
Generali Spirit Abszolute Derivative Fund B sorozat
Egyéb HUF 1,483181 2024.04.25. 3,6% 12,5% 22,4% 10,6% 7,9% N/A 5,6% 6,4% 2008.07.07. 3
Generali Titanium Total Return Fund of Funds
Egyéb HUF 2,118318 2024.04.25. 3,7% 12,4% 21% 10,1% 8,1% 4,6% 5,7% 4,9% 2008.07.07. 3
Generali Triumph Absolute Derivatives Fund B sorozat
EUR EUR 0,011727 2024.04.25. -0,6% 4,4% 4,8% 0,7% 1,7% N/A -0,8% 1,8% 2015.06.23. 3
Generali Triumph Absolute Derivatives Fund C sorozat
USD USD 0,011515 2024.04.25. -2,5% 3,1% 3,7% 1,8% 3,1% N/A -1,1% 2,4% 2018.04.13. 3
Generali Triumph Absolute Derivatives Fund A sorozat
HUF 1,337874 2024.04.25. 1% 9,7% 16,1% 7,2% 5,9% N/A 3% 5% 2018.04.13. 3
HEAD Total Return Derivative Sub-Fund A sorozat
EUR 0,006172 2024.04.25. -4,4% -8,8% -15,7% -9,5% -7,8% N/A -5,5% -7,9% 2018.06.15. 0
Himalayas Total Return Derivative Investment Fund A sorozat
HUF 1,079857 2024.04.25. -4,7% -1,8% 3% 12,7% N/A N/A -9% 1,6% 2019.05.28. 0
HOLD Beat Derivative Investment Fund
HUF 1,602219 2024.04.25. 10,1% 23,8% 36% N/A N/A N/A 10,4% 24,1% 2022.02.18. 4
HOLD Columbus Global Value Derivative Investment Fund A sorozat
HUF 3,430072 2024.04.25. 4,6% 9,5% 22,3% 12% 13,4% 7,7% 5,8% 7,8% 2007.09.04. 4
HOLD Columbus Global Value Derivative Investment Fund B sorozat
EUR 1,195271 2024.04.25. 3,2% 6% 12,4% 4,7% N/A N/A 3,9% 5,6% 2021.01.14. 4
HOLD Diverzification Fund of Funds
EUR 0,014126 2024.04.25. 3,3% 9,4% 15,5% 7,2% N/A N/A 4,8% 8,3% 2019.12.30. 3
HOLD EURO Fund of Funds
EUR 1,390189 2024.04.25. 4,2% 9,3% 12,4% 3,5% 5,4% 3% 5,8% 3,1% 2013.05.15. 3
HOLD EURO PB2 Fund of Funds
EUR 0,010824 2024.04.25. 0,7% 2,2% 4% 0% 2,3% N/A 0,9% 0,9% 2015.10.22. 3
HOLD EURO PB3 Fund of Funds
EUR 0,028885 2024.04.25. 4% 10% 13,5% 5,8% 6,7% 4,7% 5,2% 7,1% 2008.12.10. 4
HOLD Expedition Derivative Investment Fund B sorozat EUR
EUR 1,120913 2024.04.25. 3,9% 12,2% N/A N/A N/A N/A 4,9% 12,1% 2023.07.18. 2
HOLD Expedition Derivative Investment Fund A sorozat HUF
HUF 2,091069 2024.04.25. 5,2% 15,8% 26,9% 19,7% 18% N/A 6,7% 13,2% 2018.05.14. 4
HOLD Fund of Funds
HUF 2,358415 2024.04.25. 5,8% 12,9% 22,4% 10,6% 10,2% 5,8% 7,8% 6,8% 2011.03.19. 3
HOLD KOGA EURO Fund of Funds
EUR 1,275403 2024.04.25. 3,8% 8,7% 11,3% 3,7% 5% N/A 5,5% 2,7% 2015.03.26. 3
HOLD KOGA Fund of Funds
HUF 1,714431 2024.04.25. 5,2% 12,1% 21,1% 10,4% 9,9% 5,4% 7,2% 5,3% 2013.12.20. 3
HOLD Molto Forte EURO Sub Fund of Funds
EUR 0,016173 2024.04.25. 4,7% 10,1% 13,6% 6,8% 9,6% N/A 6,7% 6,2% 2016.04.12. 3
HOLD Molto Forte Sub Fund of Funds A sorozat HUF
HUF 1,902496 2024.04.25. 6,1% 13,5% 23,4% 13,5% 14,1% N/A 8,4% 9,1% 2016.12.09. 3
HOLD Molto Forte Sub Fund of Funds B sorozat USD
USD 1,111905 2024.04.25. 5,1% 11,4% N/A N/A N/A N/A 7% 11,2% 2023.07.18. 2
HOLD Orion Derivative Investment Fund A sorozat HUF
HUF 2,033904 2024.04.25. 4,1% 14,6% 36,6% 19,5% 16,4% N/A 5,4% 12,3% 2018.03.02. 4
HOLD Orion Derivative Investment Fund B sorozat EUR
EUR 1,177477 2024.04.25. 3,1% 11,8% N/A N/A N/A N/A 4,1% 17,7% 2023.07.18. 2
HOLD PB1 Fund of Funds
HUF 2,723708 2024.04.25. 1,5% 5,5% 14% 7,6% 6,5% 4,6% 2% 5,8% 2006.08.22. 2
HOLD PB2 Fund of Funds
HUF 2,466959 2024.04.25. 1,5% 5,4% 13,9% 6,8% 7% 4,1% 2% 5,2% 2006.08.22. 3
HOLD PB3 Fund of Funds
HUF 3,421493 2024.04.25. 5,6% 13,4% 23,2% 12,7% 11,5% 7,6% 7,3% 7,2% 2006.08.22. 4
HOLD Rubicon Derivative Investment Fund
HUF 8,988374 2024.04.25. 6,1% 12,7% 26,9% 17,6% 19% 11,6% 7,8% 15,3% 2008.11.19. 5
HOLD Safe EURO Total Return Investment Fund
EUR EUR 0,009819 2024.04.25. 0,7% 1,7% 3,4% 0,7% 0% -0,2% 0,9% -0,1% 2007.10.26. 1
HOLD Safe Total Return Investment Fund
HUF HUF 3,029518 2024.04.25. 1,9% 4,8% 13,5% 8,3% 4,5% 2% 2,4% 4,5% 1999.05.18. 1
HOLD Safe USD Total Return Investment Fund
USD USD 0,01095 2024.04.25. 1% 2,4% 5% 2,3% 1,6% 1,1% 1,3% 0,6% 2007.10.26. 1
HOLD USD PB2 Fund of Funds
USD 0,012439 2024.04.25. 1% 2,7% 5,2% 1,5% 3,8% N/A 1,3% 2,6% 2015.10.22. 3
HOLD USD PB3 Fund of Funds
USD 0,016965 2024.04.25. 4,4% 10,5% 15% 7,3% 8,5% N/A 5,5% 6,2% 2015.06.30. 4
HOLD VK 100 Sub-Fund of Funds B sorozat
EUR 1,035575 2024.04.25. 2,5% N/A N/A N/A N/A N/A 3,1% 3,6% 2023.12.18. 2
HOLD VK 100 Sub-Fund of Funds A sorozat
HUF 1,257044 2024.04.25. 3,7% 9,3% 18,7% N/A N/A N/A 4,7% 9,5% 2021.08.16. 3
HOLD VK 200 Sub-Fund of Fnds B sorozat
EUR 1,050225 2024.04.25. 3,7% N/A N/A N/A N/A N/A 4,6% 5% 2023.12.18. 2
HOLD VK 200 Sub-Fund of Fnds C sorozat
USD 1,055253 2024.04.25. 4,1% N/A N/A N/A N/A N/A 5% 5,5% 2023.12.18. 2
HOLD VK 200 Sub-Fund of Fnds A sorozat
HUF 1,304001 2024.04.25. 4,9% 12,4% 22,8% N/A N/A N/A 6,1% 11,1% 2021.08.16. 3
HOLD VK 300 Sub-Fund of Funds A sorozat
HUF 1,341721 2024.04.25. 6,2% 15,8% 27,1% N/A N/A N/A 7,7% 12,4% 2021.08.16. 4
HOLD VK 300 Sub-Fund of Funds B sorozat
EUR 1,065152 2024.04.25. 5% N/A N/A N/A N/A N/A 6,1% 6,5% 2023.12.18. 2
HOLD VK 300 Sub-Fund of Funds C sorozat
USD 1,068539 2024.04.25. 5,2% N/A N/A N/A N/A N/A 6,3% 6,9% 2023.12.18. 2
HOLD VM Absolute Derivative Investment Fund B sorozat
HUF 1,232036 2024.04.25. 4,1% 9,3% 13,5% 7,5% 6% N/A 4,6% 2,9% 2017.01.04. 3
HOLD VM Absolute Derivative Investment Fund A sorozat
HUF 2,696056 2024.04.25. 4,2% 9,1% 13,4% 7,2% 5,7% 2,3% 4,9% 5,5% 2005.10.13. 3
HOLD VM Absolute Derivative Investment Fund C sorozat
HUF 1,273103 2024.04.25. 4,3% 9,3% 13,7% 7,6% 6% N/A 5% 3,6% 2017.07.17. 3
HOLD VM EURO Fund of Funds
EUR 10,461162 2024.04.25. 2,4% 4,9% 3,2% -0,5% 0,4% -0,9% 2,5% 0,3% 2010.06.04. 3
MARKETPROG Bond Fixed Income Derivative Fund A sorozat
HUF 1,990849 2024.04.25. -2% 0,8% 8,3% 13,1% 8,5% N/A -2,6% 8,1% 2015.06.03. 0
MARKETPROG Bond Fixed Income Derivative Fund U sorozat
USD 0,009603 2024.04.25. N/A N/A N/A N/A N/A N/A -3,5% -3,5% 2024.02.19. 3
MARKETPROG Bond Fixed Income Derivative Fund C sorozat
HUF 1,802083 2024.04.25. -1,7% 1,8% 10,6% 16% 10,7% N/A -2,2% 9,1% 2017.09.22. 0
MARKETPROG Bond Fixed Income Derivative Fund D sorozat
HUF 1,395873 2024.04.25. -1,7% 1,5% 9,7% N/A N/A N/A -2,2% 21,9% 2022.08.16. 4
MARKETPROG Bond Fixed Income Derivative Fund EUR sorozat
EUR 0,014385 2024.04.25. -3,3% -2,2% 1,3% 6,7% 4,5% N/A -4,5% 4,7% 2015.05.23. 0
MARKETPROG Bond Fixed Income Derivative Fund I sorozat
HUF 2,148211 2024.04.25. -1,8% 1,3% 9,3% 14,1% 9,4% N/A -2,3% 9% 2015.06.03. 0
MBH Active Alfa Dollar Fund of Funds
USD 1,34908 2024.04.26. 0,9% 9% 13,1% 4,7% 4,2% N/A 2,6% 3,6% 2015.10.12. 3
MBH Active Alfa Euro Fund of Funds
EUR 1,168384 2024.04.26. 0,6% 8,1% 11,9% 3,5% 2,7% N/A 2,4% 1,8% 2015.09.28. 3
MBH Adaptive Bond Dollar Fund of Funds
USD 1,231 2024.04.24. 2,3% 6,9% 10,6% -1,3% 1,8% N/A 2,8% 2,5% 2015.12.04. 3
MBH Adaptive Bond Euro Fund of Funds
EUR 1,046224 2024.04.24. 2% 6,1% 9,6% -2,9% -0,1% N/A 2,5% 0,5% 2015.12.04. 3
MBH Adaptive Bond Total Return Derivatives Fund
HUF 1,359812 2024.04.24. 3,1% 9,6% 18,2% 3,4% 4,3% N/A 4,1% 3,6% 2015.09.28. 3
MBH Aktív Alfa Total Return Derivatives Investment Fund
HUF 1,606467 2024.04.26. 2,7% 12,5% 21% 10,7% 7,7% N/A 5% 5,1% 2014.11.17. 3
MBH Control Total Return Derivatives Fund I sorozat
HUF 1,384 2024.01.29. 0% 0% 0% 3,2% 6,8% N/A 0% 3,9% 2015.10.26. 3
MBH Control Total Return Derivatives Fund A sorozat
Egyéb HUF 2,547023 2024.04.24. -0,3% 8,7% 13,9% 9% 10,9% 5,6% -0,9% 6,4% 2010.10.01. 3
MBH Domestic Emerging Absolute Return Derivative Fund
HUF HUF 1,428607 2024.04.24. 2,6% 14,3% 41,1% 14% 7,5% N/A 6,5% 7% 2018.12.05. 3
MBH Future Technology Absolute Return Derivative Investment Fund
HUF 1,295916 2024.04.26. 4,9% 12,9% 20,3% 7,4% N/A N/A 7,9% 8% 2020.12.01. 3
MBH Paradigm Fund
HUF 1,346595 2024.04.24. 3,3% 7% 12,9% 4,9% 4,7% 3% 3,5% 3% 2014.02.24. 3
MBH Paradigm Fund I sorozat
HUF 1,339419 2024.04.24. 3,6% 7,3% 13,3% 5,5% 5,4% N/A 3,8% 3,5% 2015.10.26. 3
MBH PB TOP Total Return Derivatives Investment Fund I sorozat
HUF 1,091375 2024.04.26. 2,5% 11,5% N/A N/A N/A N/A 1,8% 10,5% 2023.08.01. 3
MBH PB TOP Total Return Derivatives Investment Fund
HUF 1,657472 2024.04.26. 2% 10,5% 16,8% 8,8% 7,6% N/A 1,2% 5,5% 2014.11.17. 3
MBH Rotunda Total Return Derivative Investment Fund
HUF 1,545544 2024.04.26. 3,3% 6,5% 17,3% 4,8% N/A N/A 1,6% 9,7% 2019.06.12. 4
OTP Absolute Return Open-ended Derivative Fund B sorozat
HUF 2,464168 2024.04.25. 3,5% 10,1% 18,1% 7,3% 6% 4,5% 4,9% 5,2% 2006.07.07. 3
OTP Absolute Return Open-ended Derivative Fund A sorozat
HUF 2,119705 2024.04.25. 3,3% 9,5% 17,3% 6,3% 5% 3,5% 4,6% 4,3% 2006.07.07. 3
OTP Absolute Yield Investing into Euro Funds Fund
EUR EUR 1,031858 2024.04.25. 1,8% 6% 6,9% -1,8% -0,3% N/A 2,7% 0,3% 2014.05.19. 3
OTP EMDA Derivative Fund
HUF 7,371597 2024.04.25. 1,3% 2% 15,7% 14,9% 13,5% 10,8% 0,5% 13,4% 2008.05.14. 4
OTP EMDA Derivative Fund I sorozat
HUF 7,901248 2024.04.25. 1,6% 2,6% 16,9% 16,1% 14,8% N/A 0,9% 14,1% 2018.02.27. 4
OTP Emda Euro Fund of Funds B sorozat
HUF 1,213067 2024.04.25. 1,8% 0,9% 10,2% N/A N/A N/A 1,4% 7,8% 2021.09.13. 4
OTP Emda Euro Fund of Funds A sorozat
EUR 1,083647 2024.04.25. -0,1% -1,1% 5,7% N/A N/A N/A -1,2% 3,1% 2021.09.13. 4
OTP New Europe Investing into Euro Funds Fund
EUR EUR 1,139109 2024.04.24. 4,4% 7% 8,6% -0,1% 1,6% N/A 4,4% 1,3% 2014.05.19. 3
OTP New Europe Open-ended Securities Fund A sorozat
HUF HUF 2,377409 2024.04.25. 5,9% 10,7% 19,4% 8,1% 7,1% 4,7% 6,2% 5,4% 2007.11.12. 3
OTP New Europe Open-ended Securities Fund I sorozat
HUF 2,540603 2024.04.25. 6% 11,1% 20,4% 9,1% 8,3% N/A 6,5% 6,4% 2007.11.12. 3
OTP New Europe Open-ended Securities Fund B sorozat
EUR EUR 1,536206 2024.04.25. 3,8% 8,4% 14,4% 5,3% 3% 2,2% 3,4% 0,8% 2007.11.12. 3
OTP Premium Derivative Euro Fund of Funds
HUF EUR 1,117106 2024.04.25. 2% 3,7% 6,8% 2,7% 2,2% N/A 1,8% 1,5% 2017.02.02. 3
OTP Premium Derivative Fund of Funds
HUF 2,491299 2024.04.25. 3,4% 6,9% 16,7% 10,8% 7,4% 5,8% 3,6% 7,3% 2011.04.19. 3
OTP Sigma Derivative Fund A sorozat
HUF HUF 1,469214 2024.04.25. 1,6% 6,1% 17,2% 13,9% 12,2% N/A 2,1% 4,8% 2016.02.24. 4
OTP Sigma Derivative Fund I sorozat
HUF HUF 1,708423 2024.04.25. 2% 7% 19,1% 15,7% 14,2% N/A 2,7% 6,8% 2016.02.24. 4
OTP Spectra Fund of Funds
HUF 1,404722 2024.04.25. 3,4% 6,1% 13,8% 10,4% N/A N/A 4,1% 8,2% 2020.01.08. 2
OTP Supra Derivative Investment Fund I sorozat
HUF 4,594277 2024.04.25. 7,3% 8,3% 19% 9,9% -1,2% N/A 6,3% 0,5% 2008.05.14. 4
OTP Supra Derivative Investment Fund
HUF 4,2737 2024.04.25. 6,9% 7,7% 17,6% 8,7% -2,4% 1,2% 5,9% 9,5% 2008.05.14. 4
OTP Supra Investing Fund of Dollar Funds
USD USD 0,952295 2024.04.25. 5,8% 5,2% 9,3% 2,6% -5,3% N/A 4,5% -0,7% 2017.01.17. 4
OTP Supra Investing Fund of Euro Funds
EUR 0,864523 2024.04.25. 5,5% 4,5% 7,7% 0,7% -6,9% N/A 4,1% -1,5% 2014.05.19. 4
OTP Trend International Stock Fund B sorozat
HUF 46871,494916 2024.04.25. 8% 14,6% 18,4% 9,9% 12,7% 12,8% 13% 13,3% 2011.12.15. 4
OTP Trend International Stock Fund A sorozat
HUF 39024,056276 2024.04.25. 7,8% 14% 16,9% 8,3% 11,1% 11,1% 12,7% 11,5% 2011.12.15. 4
Palomar Derivative Investment Fund A sorozat HUF
HUF 1,322827 2024.04.25. 7,5% 10,9% 25,3% N/A N/A N/A 10,7% 17,9% 2022.08.04. 4
Palomar Derivative Investment Fund D sorozat HUF
HUF 1,372428 2024.04.25. 8,4% 12,2% 28,2% N/A N/A N/A 12% 20,3% 2022.08.04. 4
Palomar Derivative Investment Fund B sorozat EUR
EUR 1,14307 2024.04.25. 6,3% 7,8% 16,5% N/A N/A N/A 9% 7,9% 2022.08.04. 4
Palomar Derivative Investment Fund C sorozat USD
USD 1,183846 2024.04.25. 6,5% 8,5% 17,9% N/A N/A N/A 9,3% 10% 2022.08.04. 4
Platina Alfa Derivative Investment Fund
HUF 4,769047 2024.04.25. 7% 14% 22,9% 10,6% 10% 6,6% 9,1% 9,2% 2006.08.22. 3
Platina Beta Derivative Investment Fund
HUF 5,172572 2024.04.25. 8,2% 18,6% 34,5% 12,9% 10,7% 7% 9,8% 9,7% 2006.08.22. 3
Platina Delta Derivative Investment Fund A sorozat
HUF 7,267546 2024.04.25. 29,1% 42,3% 64% 17,4% 20,7% 12,8% 32,1% 11,9% 2006.08.22. 5
Platina Gamma Derivative Investment Fund
HUF 4,819923 2024.04.25. 6,6% 9,3% 18,2% 9,6% 8% 6,7% 8% 9,3% 2006.08.22. 3
Prestige Absolute Return Derivative Fund EUR sorozat
EUR 0,008425 2024.04.25. -0,1% 3% 3,3% -1% N/A N/A 1,6% -3,8% 2020.07.16. 0
Prestige Absolute Return Derivative Fund
HUF 1,020144 2024.04.25. 1,6% 5,1% 10,5% 5% 2% N/A 2,4% 0,2% 2015.06.03. 0
Prestige START Total Return Derivative Fund
HUF 0,978678 2024.04.25. 1,3% 3% 8,2% 1,6% 2,7% N/A 1,7% -0,3% 2017.01.10. 3
Prestige START Total Return Derivative Fund B sorozat
EUR 0,010007 2024.04.25. -0,8% 0,4% N/A N/A N/A N/A -1,2% 0,1% 2023.10.18. 3
Prestige START Total Return Derivative Fund C sorozat
USD 0,010007 2024.04.25. -2,4% 0,4% N/A N/A N/A N/A -4,3% 0,1% 2023.10.18. 3
Primus All Weather Absolute Return Fund I sorozat
USD 0,010997 2024.04.25. 3,8% 7% 6,8% N/A N/A N/A 4,4% 3,6% 2021.08.09. 5
Primus All Weather Plus Absolute Return Derivative Fund
USD 0,009271 2024.04.24. -1,3% -2,2% -5,4% N/A N/A N/A -3,1% -3,5% 2022.03.04. 0
Raiffeisen Etalon Total Return Derivative Fund E sorozat
EUR 1,202973 2024.04.26. 1,6% 6,7% 11,3% N/A N/A N/A 1,8% 7,1% 2021.06.18. 4
Raiffeisen Etalon Total Return Derivative Fund U sorozat
USD 1,251086 2024.04.26. 1,9% 7,5% 12,2% N/A N/A N/A 1,8% 8,6% 2021.06.18. 4
Raiffeisen Etalon Total Return Derivative Fund Q sorozat
HUF 1,710379 2024.04.26. N/A N/A N/A N/A N/A N/A N/A N/A 2019.09.12. 0
Raiffeisen Etalon Total Return Derivative Fund A sorozat
HUF 2,267436 2024.04.26. 3,2% 9,9% 20,5% 12,8% 9,5% 4,9% 4% 4,5% 2005.08.11. 0
Raiffeisen Forte Fund R sorozat
HUF 1,2926 2024.04.26. 4,1% 14,9% 19,6% 6,7% 5,3% N/A 5,9% 4% 2017.09.22. 3
Raiffeisen Forte Fund Q sorozat
HUF HUF 1,470669 2024.04.26. 4,6% 16% 20,8% 11% N/A N/A 6,7% 8,8% 2019.09.12. 3
Raiffeisen Forte Fund E sorozat
EUR 1,249934 2024.04.26. 2,2% 11% 12,6% N/A N/A N/A 3,1% 8,8% 2021.09.01. 0
Raiffeisen Forte Fund U sorozat
USD 1,187077 2024.04.26. 1,4% 12,5% 10,2% N/A N/A N/A 0,6% 6,7% 2021.09.01. 0
Raiffeisen Forte Fund A sorozat
HUF HUF 2,437824 2024.04.26. 4% 14,8% 19,1% 10,5% 7,2% 3,5% 5,8% 5% 2006.01.10. 3
Raiffeisen Solution Plus Fund of Funds Q sorozat
HUF 1,390534 2024.04.26. 3,9% 12,2% 17,5% 8,1% N/A N/A 3,8% 7,4% 2019.09.12. 4
Raiffeisen Solution Plus Fund of Funds U sorozat
USD 1,305962 2024.04.26. 2,6% 9,4% 10,2% 3,3% 4% N/A 1,8% 4,1% 2018.01.05. 4
Raiffeisen Solution Plus Fund of Funds E sorozat
EUR 1,4549 2024.04.26. 2,3% 8,7% 8,7% 1,5% 2,2% 2,3% 1,6% 2,3% 2007.07.30. 4
Raiffeisen Solution Plus Fund of Funds R sorozat
HUF 1,358772 2024.04.26. 3,8% 12,1% 17,9% 8,5% N/A N/A 3,8% 7,6% 2020.01.29. 4
Raiffeisen Solution Plus Fund of Funds A sorozat
HUF 1,477492 2024.04.26. 3,7% 11,8% 17% 7,6% 6,6% N/A 3,6% 5,5% 2017.02.07. 4
Raiffeisen Solution Pro Fund of Funds U sorozat
USD 1,366269 2024.04.26. 3,1% 10,8% 9% 3,9% 5% N/A 2,2% 4,9% 2018.01.05. 5
Raiffeisen Solution Pro Fund of Funds A sorozat
HUF 8,55322 2024.04.26. 4,3% 13,8% 15,7% 8% 8% 5,5% 4,1% 5,9% 1999.01.19. 5
Raiffeisen Solution Pro Fund of Funds Q sorozat
HUF 1,488323 2024.04.26. 4,4% 13,9% 16,2% 8,7% N/A N/A 4,2% 9% 2019.09.12. 5
Raiffeisen Solution Pro Fund of Funds R sorozat
HUF 1,473248 2024.04.26. 4,5% 13,9% 17,1% 9,3% N/A N/A 4,3% 9,7% 2020.01.29. 5
Raiffeisen Solution Pro Fund of Funds E sorozat
EUR 1,269775 2024.04.26. 2,8% 10,1% 7,5% 2,1% 3,2% N/A 1,8% 3,4% 2017.02.08. 5
Raiffeisen Solution Pro Fund of Funds B sorozat
HUF 8,422974 2024.04.26. 4,3% 13,7% 15,8% 7,8% 7,8% N/A 4,1% 6,2% 1999.01.19. 5
Raiffeisen Solution Start Fund of Funds A sorozat
HUF 2,19389 2024.04.26. 3,2% 9,8% 16,8% 8,2% 6,3% 4,4% 3,5% 4,8% 2007.07.30. 3
Raiffeisen Solution Start Fund of Funds E sorozat
EUR 1,14346 2024.04.26. 1,8% 6,7% 8% 1,6% 1,7% N/A 1,6% 1,9% 2017.02.07. 3
Raiffeisen Solution Start Fund of Funds Q sorozat
HUF 1,388283 2024.04.26. 3,3% 10,3% 17,5% 9% N/A N/A 3,8% 7,4% 2019.09.12. 3
Raiffeisen Solution Start Fund of Funds R sorozat
HUF 1,3224 2024.04.26. 3,6% 10,2% 16,1% 7,3% N/A N/A 4,2% 6,9% 2020.01.29. 3
Raiffeisen Solution Start Fund of Funds U sorozat
USD 1,26338 2024.04.26. 2,1% 7,5% 9,5% 3,2% 3,4% N/A 1,9% 3,8% 2018.01.05. 3
Raiffeisen Solution Start Fund of Funds B sorozat
HUF 2,171239 2024.04.26. 3,2% 9,8% 16,7% 8,1% 6,2% N/A 3,5% 4,8% 2007.07.30. 3
Reverse MAX Absolute Return Derivative Fund A sorozat
HUF 2,073629 2024.04.26. 1,5% 3,5% 11,3% 29,6% 15,8% N/A 1,9% 12,8% 2018.04.12. 0
Sovereign PB Derivatives Fund EUR sorozat
EUR 0,007938 2024.04.25. 0% 0,6% -3,8% -6,1% N/A N/A 0% -7% 2021.02.15. 0
Sovereign PB Derivatives Fund
Egyéb HUF 0,910454 2024.04.25. 5,8% 4,1% 1,7% -3,2% -2,9% -3,7% 4,1% -0,6% 2009.05.19. 0
Superposition Derivatives Investment Fund B sorozat
HUF 1,659205 2024.04.25. 13,5% 24,5% 28,4% 9,9% 11,8% N/A 14,5% 7,8% 2017.07.17. 4
Superposition Derivatives Investment Fund C sorozat
HUF 1,622743 2024.04.25. 12,1% 21,9% 26,4% 9,5% 11,1% N/A 13% 7,4% 2017.07.17. 4
Superposition Derivatives Investment Fund A sorozat
HUF 1,909699 2024.04.25. 12,2% 21,7% 25,7% 8,9% 10,6% 6,4% 13,1% 6,5% 2014.01.21. 4
Takarék Aranymetszés Total Return Investment Fund of Funds
HUF 1,264443 2024.04.25. 1,3% 3,6% 9,7% 5,6% N/A N/A 2% 6% 2020.04.06. 2
Takarek Total Return Investment Fund
HUF/EUR/USD HUF 1,773662 2024.04.25. 1,3% 3,6% 10,7% 4,6% 4,8% 3% 1,8% 3,9% 2009.07.13. 2
VIG Alfa Absolute Return Investment Fund B sorozat
Egyéb PLN 3,088369 2024.04.24. 2,8% 7,5% 16,5% 3,9% 4,4% 4% 4% 4,1% 2009.11.10. 3
VIG Alfa Absolute Return Investment Fund R sorozat
Egyéb HUF 1,866949 2024.04.24. 3,2% 10% 23,4% 8,3% 7,4% 5,5% 4,9% 6% 2013.07.16. 3
VIG Alfa Absolute Return Investment Fund U sorozat
Egyéb USD 1,264954 2024.04.24. 1,4% 7,5% 15,1% 1,8% 3,5% N/A 2,4% 2,9% 2016.03.17. 3
VIG Alfa Absolute Return Investment Fund C sorozat
Egyéb CZK 1,210084 2024.04.24. 2% 7,9% 16,6% 3,3% 3,8% N/A 3,7% 2,4% 2016.03.17. 3
VIG Alfa Absolute Return Investment Fund UI sorozat
USD 1,222227 2024.04.24. 2% 7,8% 14,3% N/A N/A N/A 3% 11,6% 2022.05.11. 3
VIG Alfa Absolute Return Investment Fund EI sorozat
EUR 1,206066 2024.04.24. 1,8% 7,2% 12,9% N/A N/A N/A 3% 10,3% 2022.05.11. 3
VIG Alfa Absolute Return Investment Fund Pi sorozat
PLN 1,128114 2024.04.24. 3% 8,3% 18,5% N/A N/A N/A 4,4% 4,9% 2021.09.07. 0
VIG Alfa Absolute Return Investment Fund A sorozat
Egyéb HUF 3,575638 2024.04.24. 2,8% 9,3% 22,3% 7% 6,2% 4,5% 4,4% 7,3% 2006.02.10. 3
VIG Alfa Absolute Return Investment Fund E sorozat
Egyéb EUR 1,102762 2024.04.24. 1,5% 7,3% 13,7% 0,4% 1,9% N/A 2,6% 1,2% 2016.03.17. 3
VIG Alfa Absolute Return Investment Fund I sorozat
Egyéb HUF 1,495766 2024.04.24. 3,1% 9,9% 23,3% 8% 7,1% N/A 4,8% 5,1% 2016.03.08. 3
VIG BondMaxx Total Return Bond Investment Fund A sorozat
HUF HUF 1,567707 2024.04.24. -0,1% 5,9% 8,3% -0,4% 0,4% 1,1% -1,1% 3,1% 2010.12.17. 3
VIG BondMaxx Total Return Bond Investment Fund R sorozat
HUF 1,381299 2024.04.24. 0,2% 5,5% 8,9% 4,3% 3% 2,6% -0,7% 3% 2013.07.16. 3
VIG BondMaxx Total Return Bond Investment Fund E sorozat
EUR 0,843475 2024.04.24. -1,5% 2,6% -1,1% N/A N/A N/A -3,1% -6,4% 2021.09.14. 0
VIG BondMaxx Total Return Bond Investment Fund C sorozat
CZK 0,901666 2024.04.24. -0,8% 4,1% 2,3% -4,4% -2% N/A -2,1% -1,4% 2016.09.01. 3
VIG BondMaxx Total Return Bond Investment Fund Pi sorozat
PLN 0,871449 2024.04.24. 0,2% 4,7% 4,2% N/A N/A N/A -1% -5,2% 2021.09.14. 0
VIG BondMaxx Total Return Bond Investment Fund U sorozat
USD 0,850989 2024.04.24. -1,7% 3,4% 0,9% N/A N/A N/A -3,6% -6,1% 2021.09.14. 0
VIG BondMaxx Total Return Bond Investment Fund P sorozat
PLN 1,11176 2024.04.24. -0,6% 3,5% 2,4% -3,7% -1,5% 0,5% -2% 1% 2013.08.12. 3
VIG BondMaxx Total Return Bond Investment Fund I sorozat
HUF HUF 1,672191 2024.04.24. 0,1% 6,4% 9,2% 0,2% 1% 1,7% -0,8% 3,9% 2010.12.17. 3
VIG Maraton ESG Multi Asset Investment Fund E sorozat
EUR 1,043373 2024.04.24. 2,5% 9,7% 12,6% -2,3% 0% N/A 3,1% 0,5% 2015.07.08. 4
VIG Maraton ESG Multi Asset Investment Fund P sorozat
PLN 1,23917 2024.04.24. 3,6% 11% 17% 1,4% 2,6% N/A 4,6% 2,5% 2015.07.08. 4
VIG Maraton ESG Multi Asset Investment Fund R sorozat
HUF 1,458109 2024.04.24. 3,9% 13,4% 24,6% 6% 5,7% N/A 5,3% 4,4% 2015.07.08. 4
VIG Maraton ESG Multi Asset Investment Fund EI sorozat
EUR 1,14698 2024.04.24. 2,5% 8,8% 11,7% N/A N/A N/A 3,2% 7,4% 2022.05.18. 4
VIG Maraton ESG Multi Asset Investment Fund I sorozat
HUF 1,452018 2024.04.24. 3,9% 13,4% 24,5% 5,9% 5,4% N/A 5,2% 4,3% 2015.07.08. 4
VIG Maraton ESG Multi Asset Investment Fund UI sorozat
USD 1,185673 2024.04.24. 2,2% 9,3% 12,9% N/A N/A N/A 2,7% 9,6% 2022.05.18. 6
VIG Maraton ESG Multi Asset Investment Fund U sorozat
USD 1,21195 2024.04.24. 2,2% 10,7% 15,1% -0,7% 1,8% N/A 2,8% 2,2% 2015.07.08. 4
VIG Maraton ESG Multi Asset Investment Fund A sorozat
HUF 1,356553 2024.04.24. 3,9% 13% 23,3% 4,8% 4,7% N/A 5,2% 3,5% 2015.07.08. 4
VIG Maraton ESG Multi Asset Investment Fund C sorozat
CZK 1,205245 2024.04.24. 3% 9,6% N/A 4% 2,4% N/A 3,9% 2,3% 2016.03.17. 4
VIG MoneyMaxx Emerging Market Total Return Investment Fund U sorozat
Egyéb USD 0,91209 2024.04.24. -0,6% 6% 5,8% -6,6% -2,8% N/A -2,5% -1,1% 2016.03.17. 4
VIG MoneyMaxx Emerging Market Total Return Investment Fund I sorozat
Egyéb HUF 1,086485 2024.04.24. 1,4% 9,2% 14,8% -0,6% 0,9% N/A 0,3% 1% 2016.03.08. 4
VIG MoneyMaxx Emerging Market Total Return Investment Fund A sorozat
Egyéb HUF 2,623059 2024.04.24. 1,1% 8,4% 13,2% -1,9% -0,1% 0,7% -0,2% 4,8% 2003.12.11. 4
VIG MoneyMaxx Emerging Market Total Return Investment Fund R sorozat
Egyéb HUF 1,265447 2024.04.24. 1,5% 9,4% 15,2% -0,3% 1,2% 1,8% 0,4% 2,2% 2013.07.16. 4
VIG MoneyMaxx Emerging Market Total Return Investment Fund P sorozat
Egyéb PLN 1,076952 2024.04.24. 1% 6,7% 8,7% -4,6% -1,7% 0,2% -0,5% 0,7% 2013.07.29. 4
VIG MoneyMaxx Emerging Market Total Return Investment Fund E sorozat
Egyéb EUR 0,798723 2024.04.24. -0,3% 5,2% 3,4% -8,6% -4,3% N/A -2,2% -2,7% 2016.03.17. 4
VIG MoneyMaxx Emerging Market Total Return Investment Fund C sorozat
Egyéb CZK 0,881702 2024.04.24. 0,3% 6,8% 7,5% -5,5% -2,4% N/A -0,7% -1,5% 2016.03.17. 4
VIG Panorama Total Return Investment Fund EI sorozat
EUR 1,075068 2024.04.24. 2,6% 3,9% 6,9% N/A N/A N/A 3,1% 4,6% 2022.05.05. 5
VIG Panorama Total Return Investment Fund E sorozat
EUR 0,923362 2024.04.24. 2,3% 3,2% 6% 3,6% 4,3% N/A 2,7% -0,8% 2014.12.18. 5
VIG Panorama Total Return Investment Fund A sorozat (HUF)
HUF 1,197827 2024.04.24. 3,7% 6,4% 15,5% 11% 8,9% N/A 4,6% 1,9% 2014.11.27. 5
VIG Panorama Total Return Investment Fund U sorozat
USD 1,059333 2024.04.24. 2,3% 4% 7,4% 5,1% 5,9% N/A 2,5% 0,6% 2014.12.18. 5
VIG Panorama Total Return Investment Fund C sorozat
CZK 1,115185 2024.04.24. 3% 4,9% 10,3% N/A N/A N/A 3,7% 6,8% 2022.11.09. 5
VIG Panorama Total Return Investment Fund UI sorozat
USD 1,098699 2024.04.24. 2,5% 4,7% 8,6% N/A N/A N/A 2,9% 6,4% 2022.05.05. 5
VIG Panorama Total Return Investment Fund I sorozat (HUF)
HUF 1,318955 2024.04.24. 4% 7,1% 16,8% 12,2% 10,1% N/A 5% 3% 2014.11.27. 5
VIG Panorama Total Return Investment Fund P sorozat
PLN 1,674044 2024.04.24. 3,4% 4,5% 59% 21,3% 15% N/A 4,1% 5,7% 2015.01.21. 6
VIG Panorama Total Return Investment Fund R sorozat
HUF 1,291996 2024.04.24. 4% 7,1% 16,9% 12,3% 10,3% N/A 5% 2,8% 2015.01.21. 5
VIG Premium Expert Sub Fund of Funds
HUF 1,299453 2024.04.24. 2,9% 9,9% 19,5% 5,9% 6,1% N/A 3,5% 3,3% 2016.03.07. 3
VIG Smart Money Investment Fund of Funds
Egyéb HUF 1,842441 2024.04.24. 2,8% 9,3% 18,4% 5,2% 4,7% 3% 3,5% 4,3% 2009.09.15. 4
VIG Smart Money Investment Fund of Funds R sorozat
HUF 1,209242 2024.04.24. 3,1% 9,9% 19,8% 6,4% N/A N/A 3,9% 6,1% 2021.02.16. 4
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Real estate/Direct
Biggeorge 12 Real Estate Distributor Property Investment Fund A sorozat
EUR 1,136864 2024.03.12. 1,7% 3,4% 7,1% 7% 7% N/A 1,3% 7% 2018.01.22. 0
Biggeorge 15 Real Estate Developer Property Investment Fund C sorozat
EUR 8,979055 2024.03.12. 1,8% N/A N/A N/A N/A N/A 1,4% 1,8% 2023.12.12. 7
Biggeorge 18 Real Estate Distributor Property Investment Fund A sorozat
EUR 1,3213 2024.03.12. 3% 4,8% 14% 7,8% N/A N/A 1,3% 6,2% 2019.07.17. 0
Biggeorge 19 Real Estate Distributor Property Investment Fund A sorozat
HUF 143,9885 2024.03.12. 1,9% 3,9% 8,1% 8% N/A N/A 1,5% 8% 2019.06.18. 0
Biggeorge 23 Real Estate Distributor Property Investment Fund A sorozat
HUF 196,999145 2024.03.12. 1,9% 3,9% 8,1% 8% N/A N/A 1,5% 8,4% 2020.07.14. 0
Biggeorge 24 Real Estate Distributor Property Investment Fund A sorozat
EUR 1,606006 2024.03.12. 1,6% 3,2% 6,6% 6,7% N/A N/A 1,2% 6,5% 2020.12.22. 7
Biggeorge 25 Real Estate Developer Fund A sorozat
HUF 12962,853346 2024.03.11. 1,7% 3,4% 7% N/A N/A N/A 1,3% 6,9% 2022.01.28. 7
Biggeorge 26 Real Estate Developer Property Investment Fund A sorozat
HUF 172,635257 2024.03.13. 2,8% 5,6% 11,7% N/A N/A N/A 2,2% 11,7% 2022.05.31. 7
Biggeorge 27 Real Estate Developer Property Investment Fund
HUF 108,462013 2024.03.12. -0,2% -0,2% -2,1% 3% N/A N/A -0,1% 2,4% 2020.10.22. 0
Biggeorge 28 Real Estate Developer Property Investment Fund A sorozat
HUF 116,98505 2024.03.08. 1,9% 3,9% 8,1% N/A N/A N/A 1,4% 8% 2021.12.17. 7
Biggeorge 29 Real Estate Developer Property Investment Fund
HUF 96,469585 2024.03.08. -0,3% -0,6% -1,7% N/A N/A N/A -0,2% -1,3% 2021.06.14. 0
Biggeorge 30 Real Estate Developer Property Investment Fund A sorozat
HUF 103,810927 2024.03.11. 1,4% 2,6% N/A N/A N/A N/A 1,4% 3,8% 2023.07.18. 7
Biggeorge 31 Real Estate Developer Property Investment Fund
EUR 1,437602 2024.03.11. 0,6% 6,1% 26,7% N/A N/A N/A 0,6% 14,3% 2021.06.17. 0
Biggeorge 32 Real Estate Developer Property Investment Fund
EUR 0,961666 2024.03.12. -1,2% -0,3% -1% N/A N/A N/A 2,6% -1,7% 2021.12.11. 0
Biggeorge 33 Real Estate Developer Property Investment Fund
HUF 102,655232 2024.03.12. N/A N/A N/A N/A N/A N/A 1,6% 1,7% 2023.12.22. 7
Biggeorge 34 Real Estate Developer Property Investment Fund
HUF 94,621566 2024.03.08. 0% -7,3% -0,2% N/A N/A N/A 0% -2,9% 2022.04.22. 7
Biggeorge 36 Real Estate Developer Property Investment Fund A sorozat
HUF 124,086313 2024.03.12. 3,4% 7% N/A N/A N/A N/A 2,7% 9,5% 2022.12.13. 7
Biggeorge 37 Real Estate Developer Property Investment Fund A sorozat
HUF 119,514004 2024.03.18. 2,9% 5,7% N/A N/A N/A N/A 2,7% 6,1% 2023.08.28. 7
Biggeorge 38 Real Estate Developer Property Investment Fund A sorozat
HUF 116,619547 2024.03.18. 2,6% 5,3% N/A N/A N/A N/A 2,3% 6,9% 2023.07.31. 7
Biggeorge 39 Real Estate Developer Property Investment Fund
HUF 100,352037 2024.03.11. -0,2% -0,5% -0,3% N/A N/A N/A -0,1% 0,2% 2022.08.11. 7
Biggeorge 40 Real Estate Developer Property Investment Fund A sorozat
HUF 13350,42408 2024.03.11. 2,3% N/A N/A N/A N/A N/A 1,8% 3,2% 2023.11.02. 7
Biggeorge 41 Real Estate Developer Property Investment Fund
EUR 1,006355 2024.03.11. -1,1% -0,8% -0,1% N/A N/A N/A -1,1% 0,4% 2022.08.16. 7
Biggeorge 42 Real Estate Developer Property Investment Fund
EUR 1,081606 2024.03.11. 1,1% -3,1% 7,1% N/A N/A N/A 0,8% 5,1% 2022.08.09. 7
Biggeorge 4. Real Estate Developer Investment Fund
HUF HUF 360 2024.04.24. 3,3% 3,3% 7,3% 24,6% 42,3% 52,8% 3,6% 14,1% 2007.12.13. 0
ERSTE Open-ended Euro Real Estate Investment Fund T sorozat
EUR EUR 1,5585 2024.04.25. 0,8% 2% 4,7% 3,5% 3% 2,4% 1% 3% 2009.04.29. 1
ERSTE Open-ended Euro Real Estate Investment Fund T180 sorozat
EUR EUR 1,1435 2024.04.25. 0,8% 2% 4,7% 3,5% N/A N/A 1% 3,1% 2019.12.02. 1
Erste Open-ended Real Estate Investment Fund Class T180
HUF HUF 1,314 2024.04.25. 2% 4,3% 12% N/A N/A N/A 2,5% 11,3% 2021.09.06. 1
Erste Open-end Real Estate Investment Fund M180 sorozat
HUF HUF 1,0576 2024.04.25. 2,1% 4,5% N/A N/A N/A N/A 2,7% 5,8% 2023.09.21. 2
Erste Open-end Real Estate Investment Fund T sorozat
HUF HUF 3,4237 2024.04.25. 2% 4,3% 12% 10% 7,1% 4,8% 2,5% 6,3% 2004.03.30. 1
Europa Real Estate Investment Fund A sorozat
EUR, HUF HUF 1,7669 2024.04.29. 1,4% -2,6% 1% 3% 4,3% 4,4% 1,2% 3,4% 2001.03.12. 0
Magyar Posta Takarek Real Estate Investment Fund "I" Sorozat
HUF HUF 1,748434 2024.04.26. 1,9% 4% 11,6% 10,7% 8,6% N/A 2,6% 6,2% 2015.01.13. 2
Magyar Posta Takarek Real Estate Investment Fund "A" Sorozat
HUF HUF 1,639592 2024.04.26. 1,5% 3,3% 9,8% 9% 7,3% 5% 2,1% 5% 2014.03.17. 2
Magyar Posta Takarek Real Estate Investment Fund "B" sorozat
HUF 1,190419 2024.04.26. 2% 4,2% 12% N/A N/A N/A 2,7% 13,8% 2022.12.21. 2
MKB Real Estate Investment Fund
HUF HUF 1,344776 2024.04.26. 3,8% 7,7% 16% N/A N/A N/A 4,9% 9,6% 2021.04.26. 2
OTP PRIME Real Estate Investment Fund I sorozat
HUF 3,067795 2022.01.17. 12,3% 21,3% 42,9% 39,7% N/A N/A 5,9% 39,2% 2018.12.12. 0
OTP PRIME Real Estate Investment Fund
HUF 1,80129 2024.04.26. 0,7% 3,2% 9,7% 11,7% 9,9% N/A 2% 8,4% 2017.01.17. 0
OTP Real Estate Investment Fund A sorozat
HUF HUF 2,848055 2024.04.26. 0,9% 3,9% 8,8% 7,8% 5,4% 4,3% 1,9% 5,1% 2002.12.05. 2
OTP Real Estate Investment Fund I sorozat
HUF 2,870477 2024.04.26. 1,2% 4,6% N/A N/A N/A N/A 2,3% 6,2% 2023.08.24. 2
OTP Real Estate Investment Fund B sorozat
HUF 2,848057 2024.04.26. 0,9% N/A N/A N/A N/A N/A 1,6% 1,6% 2024.01.09. 2
Raiffeisen Real Estate Investment Fund A sorozat
HUF HUF 3,314182 2024.04.26. -2,1% -1% 5,9% 9,1% 7,9% 8,6% -1,9% 7,8% 2002.10.07. 4
Raiffeisen Real Estate Investment Fund U180 sorozat
USD 1,306055 2024.04.26. -3% -3,2% -0,9% 3,4% N/A N/A -3,1% 6,5% 2020.03.26. 4
Raiffeisen Real Estate Investment Fund D sorozat
EUR 1,493279 2024.04.26. -3,2% -3,9% -2,5% 1,8% 3,2% N/A -3,5% 5,5% 2016.11.21. 4
Raiffeisen Real Estate Investment Fund B sorozat
HUF 3,285623 2024.03.05. 2,9% 2,3% 6,6% 6,1% 8,4% N/A 2% 8,8% 2005.10.20. 4
Raiffeisen Real Estate Investment Fund U sorozat
USD 1,556015 2024.04.26. -2,9% -3,1% -0,9% 3,2% 4,8% N/A -3% 6,9% 2017.09.01. 4
Raiffeisen Real Estate Investment Fund D180 sorozat
HUF EUR 1,151622 2024.04.26. -3,2% -3,9% -2,5% 1,8% N/A N/A -3,5% 3,3% 2020.03.26. 4
Raiffeisen Real Estate Investment Fund C sorozat
HUF 3,205938 2024.04.26. -1,5% -1,8% 2,3% 4,8% 7,2% N/A -0,9% 8,3% 2005.10.20. 4
Raiffeisen Real Estate Investment Fund A180 sorozat
HUF HUF 1,437916 2024.04.26. -2,1% -0,9% 6,3% 9,5% N/A N/A -2% 9% 2020.03.26. 4
Torony Ingatlan Real Estate Fund A sorozat
HUF HUF 2,751489 2024.04.26. 2,4% 6% 8,4% 11,4% 11,8% 10,3% 3,8% 10,3% 2013.12.13. 0
Torony Ingatlan Real Estate Fund B sorozat
HUF HUF 1,669852 2024.04.26. 2,2% 5,4% 7,4% 11,1% N/A N/A 3,6% 11,5% 2019.08.05. 0
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Real estate/Indirect
OTP Dollar Real Estate Fund of Funds
USD 1,210379 2024.04.26. -0,1% 1,7% 1% 1,8% 1,9% N/A 0,9% 2,6% 2016.11.11. 0
OTP Euro Real Estate Fund of Funds
EUR 1,05318 2024.04.26. -0,1% 1,1% -0,1% 0,1% 0,2% N/A 0,4% 0,7% 2016.11.11. 0
OTP PRIME Euro Real Estate Fund of Funds
EUR 1,176981 2024.04.26. 1% 1,7% 2% 2,5% 3,1% N/A 1,6% 3,1% 2018.11.20. 0
OTP Real Estate World Fund of Funds
HUF 1,529914 2024.04.26. 1,7% 5,3% 12% 8,6% 6,9% N/A 2,8% 5,3% 2016.02.16. 0
Takarék Dollár Ingatlan Alapok Alapja
USD 1,233078 2024.04.25. 1% 2,3% 2,3% 3% 3,7% N/A 1,2% 3,7% 2018.07.20. 2
Takarék Euro Real Estate Fund of Funds
HUF EUR 1,194428 2024.04.25. 0,9% 2,5% 2,8% 2% 2,6% N/A 1,3% 2% 2015.06.10. 2
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Commodity market
Erste Gold Fund of Funds DPM HUF sorozat
HUF 1,4883 2024.04.25. 19% 17,5% 23,9% 16% N/A N/A 18,9% 11,1% 2020.07.06. 5
Erste Gold Fund of Funds DPM USD sorozat
USD 1,2725 2024.04.25. 14,9% 16,5% 15,1% 8,4% N/A N/A 12,3% 6,5% 2020.06.24. 5
Erste Gold Fund of Funds DPM EUR sorozat
EUR 1,3407 2024.04.25. 16,7% 15% 18,5% 12,7% N/A N/A 15,7% 8% 2020.06.24. 5
Erste Gold Fund of Funds HUF sorozat
Egyéb HUF 1,6449 2024.04.25. 18,8% 17,1% 22,9% 15,1% N/A N/A 18,6% 12,4% 2020.01.27. 5
Eurizon Commodity Sub-Fund of Funds
HUF HUF 1,0532 2024.04.25. 10,9% 4,2% 10,7% 16% 11,1% 0,9% 12,2% 0,3% 2006.06.02. 6
Eurizon Gold Sub-Fund of Funds
HUF 1,6095 2024.04.25. 15% 17,8% 21% 11,7% 11,9% N/A 13,2% 7,3% 2017.09.20. 4
K&H Raw Material Investment Fund of Open-ended Funds HUF
HUF HUF 1,28981 2024.04.23. 12,3% 2,7% 13,5% 18,4% 9,6% 0% 12,7% 1,8% 2009.10.05. 5
K&H Raw Material Investment Fund of Open-ended Funds USD
USD USD 0,740936 2024.04.23. 11% 1% 6,9% 9,5% 5,2% -3,5% 11,2% -2% 2009.10.05. 6
MBH Gold Fund of Funds A sorozat
HUF HUF 1,287399 2024.04.24. 15,1% 17,9% 21,3% 11,2% 11,2% 3,5% 12,7% 1,8% 2008.07.21. 4
MBH Traditional Energy Fund A sorozat
USD HUF 8826,974344 2024.04.24. 9,6% 2,6% 12,2% 18,2% 9,8% -2% 9,4% -0,9% 2006.02.23. 5
MKB Commodity Derivative Investment Fund
USD HUF 1,244693 2024.04.26. 7,7% 6,7% 12,2% 12,2% 9,8% 1,3% 8,3% 1,5% 2009.07.06. 4
OTP Terra Commodity Fund A sorozat
HUF 0,830864 2024.04.25. 3,9% -4,4% 2,5% N/A N/A N/A 3,9% -11,6% 2022.10.20. 4
OTP Terra Commodity Fund B sorozat
EUR 0,87121 2024.04.25. 2% -6,4% -1,7% N/A N/A N/A 1,2% -8,6% 2022.10.20. 4
OTP Terra Commodity Fund I sorozat
HUF 0,839541 2024.04.25. 4,1% -4,1% 3,2% N/A N/A N/A 4,1% -11% 2022.10.20. 4
OTP Treasure of Earth Fund of Funds B sorozat
EUR 2,971208 2024.04.25. -0,1% 4,3% 11,3% 17,4% 12,5% 9,6% 0,1% 6,9% 2009.02.04. 5
OTP Treasure of Earth Fund of Funds I sorozat
HUF 4,357631 2024.04.25. 2,2% 7,1% 17,5% 22% 18,7% N/A 3,1% 15,3% 2016.02.08. 5
OTP Treasure of Earth Fund of Funds A sorozat
HUF 3,895045 2024.04.25. 1,9% 6,6% 16,2% 20,6% 17,1% 12,2% 2,8% 9,3% 2009.02.04. 5
Raiffeisen Raw Material Fund of Funds B sorozat
HUF 2,293077 2024.04.26. 11,2% 4,3% 11,6% 14,3% 10,8% N/A 13% 9,9% 2010.10.27. 5
Raiffeisen Raw Material Fund of Funds A sorozat
HUF 2,251339 2024.04.26. 10,9% 3,9% 10,6% 13,5% 10,3% 4,8% 12,7% 4,4% 2005.08.11. 5
Typical exposure Currency Unit price Date 3 monthly return 6 monthly return 1 yearly return 3 yearly return 5 yearly return 10 yearly return Beginning of year From the start Start date KIID SRRI
Derivative
Accorde Techno Derivative Subfund
EUR 1,324338 2024.04.24. 3,8% 14,6% 21,2% -3% 8,1% N/A 6,3% 4,7% 2018.03.10. 0
Accorde Trezor Euro Sub-Fund
EUR 1,030421 2024.04.24. 0,7% 1,5% 2,7% N/A N/A N/A 0,9% 2,2% 2022.12.08. 2
Accorde Trezor Forint Subfund
HUF 1,189014 2024.04.24. 1,7% 3,7% 10% N/A N/A N/A 2,1% 11,4% 2022.09.12. 2
Artemisz Bond Derivative Sub-Fund Open Ended Investment Unit A sorozat
HUF 0,978438 2024.04.25. -2,8% N/A N/A N/A N/A N/A -2,2% -2,2% 2023.12.29. 6
Artemisz Bond Derivative Sub-Fund Open Ended Investment Unit B sorozat
EUR 0,953232 2024.04.25. -4,7% N/A N/A N/A N/A N/A -4,7% -4,7% 2023.12.27. 6
Artemisz Megatrend Derivative Sub-Fund Open Ended Investment Unit B sorozat
EUR 1,011192 2024.04.25. -1,8% N/A N/A N/A N/A N/A 1,1% 1,1% 2023.12.29. 6
Artemisz Megatrend Derivative Sub-Fund Open Ended Investment Unit A sorozat
HUF 1,037973 2024.04.25. 0,1% N/A N/A N/A N/A N/A 3,8% 3,8% 2023.12.29. 6
EQUILOR Wealth Office Derivative Sub-Fund B sorozat
EUR 1,036179 2024.04.25. -0,3% 2,1% N/A N/A N/A N/A -0,4% 3,9% 2023.05.02. 5
EQUILOR Wealth Office Derivative Sub-Fund C sorozat
USD 1,010624 2024.04.25. -1,8% 3,1% N/A N/A N/A N/A -3,1% 0,9% 2023.05.02. 6
EQUILOR Wealth Office Derivative Sub-Fund A sorozat
HUF 1,095008 2024.04.25. 1,5% 4,3% N/A N/A N/A N/A 2,1% 9,4% 2023.05.02. 4
Eurizon Shopping Cart Derivative Sub-Fund
HUF 9424,6839 2024.04.25. 0,9% 2,4% 3,9% -2% N/A N/A 1,3% -1,9% 2021.04.12. 2
HOLD MAX EURO Derivative Investment Fund
EUR 0,005199 2024.04.25. 5,7% -3,2% -21,7% -27,8% -11,4% N/A 7,9% -7,9% 2016.04.29. 6
HOLD MAX USD Derivative Investment Fund
USD 0,013862 2024.04.25. 13,9% -3,4% 5,8% 0,5% 3,9% N/A 25,4% 4,2% 2016.04.29. 7
K&H Capital Guaranteed Strong Europe Derivative Closed End Fund
HUF 11282,611756 2024.04.24. 2,5% 7,6% 15,2% 2% 1,9% N/A 4,1% 2,3% 2018.10.25. 0
K&H European Banks Flexible 2 Derivative Closed End Fund
HUF 14826,60243 2024.04.24. 7% 18,2% 12,9% 14,4% 8,2% N/A 8% 8,1% 2019.04.10. 0
K&H International Team 8 Derivative Closed End Fund
HUF 9500 2023.10.13. 13% 6,9% 12,5% 0,1% N/A N/A 10,5% -1,3% 2019.12.05. 0
K&H Telecommunications Flexible 2 Derivative Closed End Fund
HUF 8606,844926 2024.04.24. -2,7% 5% -1,9% -3,8% N/A N/A 0,7% -3,2% 2019.09.18. 0
K&H Telecommunications Flexible 3 Derivative Closed End Fund
HUF 8684,237474 2024.04.24. -2,4% 5,4% 0,3% -3,3% N/A N/A 0,9% -3,2% 2019.12.18. 0
MBH Real Estate Market Equity Absolute Return Derivative Investment Fund IL sorozat
HUF HUF 0 2014.07.01. N/A N/A N/A N/A N/A N/A N/A N/A 2012.04.11. 4
MBH Real Estate Market Equity Absolute Return Derivative Investment Fund A Sorozat
Egyéb HUF 2,239447 2024.04.26. 3,3% 7,9% 22,2% 6,4% 8,7% 8% 4% 4,8% 2007.01.26. 4
Reverse Max Derivative Investment Fund B sorozat
HUF 2,076956 2024.04.26. 1,1% 2,6% 9,4% 27,4% N/A N/A 1,3% 20,8% 2020.06.12. 0
Sequoia Derivative Investment Fund
EUR 1,28103 2024.04.25. -0,2% -0,1% 1,9% 2,3% 5,4% N/A -0,4% 3,7% 2017.06.16. 4
SUI GENERIS 1.1 Derivatives Investment Fund
Egyéb HUF 1,992053 2024.04.25. 5% 11,3% 21,6% 12% 12% 7% 6,7% 7% 2014.02.03. 4
Takarek Derivatives Investment Fund
HUF/EUR/USD HUF 1,178832 2024.04.25. 1,6% 4,2% 12,4% 7% 3,9% 1,4% 2,4% 1,4% 2012.12.14. 2

Information


Fund name: Amundi Selecta European Equity Fund of Funds
Class: Class I
ISIN: HU0000706676
Currency: HUF
Net asset value: 26,929,738
Unit price: 3.297334
Date: 2024.04.25.
Category: Stock
Geographical risk profile: Developed market / Europe
Currency risk profile: EUR
Other typical exposure:
ESG classification:
KIID SRRI: 0
Type: Publicly offered open ended institution
Description: Fund of funds
Start date: 2011.01.17.
Fund manager: Amundi Alapkezelő Zrt.
Custodian bank: UniCredit Bank Hungary Zrt.
Comparing returns
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