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 1,358657 2026.06.29. 0,9% 1,7% 3,6% 4,4% 3,2% 2% 1,6% 1,6% 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
Erste Open Ended Money Market Investment Fund A sorozat HUF
HUF 1,0624 2026.07.01. 1,4% 2,4% 4,8% N/A N/A N/A 2,4% 4,8% 2025.03.17. 2
Erste Open Ended Money Market Investment Fund D sorozat HUF
HUF 1,0902 2026.07.01. 1,7% 3,1% 6,2% N/A N/A N/A 3,1% 5,5% 2024.11.19. 2
OTP Premium Money Market Fund A sorozat
HUF HUF 1,427194 2026.07.01. 1,5% 2,7% 5,3% 6,4% 6,8% 3,3% 2,7% 2,8% 2013.09.19. 2
OTP Premium Money Market Fund I sorozat
HUF 1,47797 2026.07.01. 1,7% 3,2% 6,4% N/A N/A N/A 3,2% 7,6% 2023.07.17. 2
VIG Hungarian Money Market Investment Fund A sorozat
HUF HUF 3,184484 2026.06.29. 1,8% 2,9% 5,7% 6,7% 7% 3,4% 2,8% 5% 2002.09.03. 2
VIG Hungarian Money Market Investment Fund I sorozat
HUF 1,445811 2026.06.29. 2% 3,2% 6,3% 7,3% 7,6% N/A 3,1% 4% 2016.12.01. 2
VIG Polish Money Market Investment Fund I sorozat
PLN 1,350337 2026.06.29. 0,8% 1,5% 3,6% 4,5% 3,9% 2,3% 1,4% 2,2% 2012.10.26. 1
VIG Polish Money Market Investment Fund A sorozat
PLN 1,311167 2026.06.29. 0,7% 1,4% 3,4% 4,2% 3,7% 2,1% 1,3% 2% 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 Euro Fund
EUR 1,076039 2026.06.29. 0,8% 0,5% 1,6% 2,2% N/A N/A 0,5% 2,1% 2022.12.08. 2
Accorde Trezor Forint Short Bond Fund
HUF 1,342665 2026.06.29. 3,2% 3,1% 5,9% 6,6% N/A N/A 3,1% 8,1% 2022.09.12. 2
Accorde Trezor USD Fund
USD USD 1,178881 2026.06.29. 1,3% 1,3% 3,2% 4,3% 2,5% N/A 1,3% 2,1% 2018.06.19. 2
Allianz Short Bond Fund
HUF HUF 1,916045 2026.07.01. 4,7% 5,2% 8,2% 7,7% 6% 3,1% 5,2% 3,7% 2008.08.08. 3
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. 2
Amundi Cautious Bond Fund A Sorozat
HUF HUF 5,704836 2026.06.30. 3,9% 4,5% 7% 8,1% 8,2% 3,8% 4,4% 6,3% 1998.01.23. 2
Amundi Cautious Bond Fund B sorozat
HUF 5,668069 2026.06.30. 3,8% 4,3% 6,6% N/A N/A N/A 4,3% 6,5% 2024.06.05. 2
Amundi Cautious Bond Fund C Sorozat
HUF HUF 5,906034 2026.06.30. 3,9% 4,6% 7,2% 8,4% 8,6% 4,1% 4,6% 3,6% 2013.09.16. 2
APELSO EURO Short Bond Fund
EUR 0,012441 2026.06.29. 0,6% 0,4% 1,1% 0,9% 2,4% 2,2% 0,4% 2,1% 2016.01.25. 4
APELSO HUF Short Bond Subfund
HUF 1,283611 2026.06.29. 2,9% 3,3% 5,6% 6,1% N/A N/A 3,3% 7,3% 2023.01.02. 4
APELSO USD Short Bond Fund
Egyéb USD 0,009102 2026.06.29. 0,7% 1,3% 2,8% 2,1% 1% 1,6% 1,3% -0,8% 2014.06.20. 4
BFM Conservative Bond Fund
CZK CZK 1,342551 2026.06.29. 2,8% 0,5% 3,2% 5,6% 2,7% 1,9% 0,4% 1,9% 2010.12.10. 2
EQUILOR Euro Wealth Office Bond Sub-Fund
EUR 1,096177 2026.06.29. 1,6% 1% 2,5% 3,2% N/A N/A 0,9% 3% 2023.05.02. 2
EQUILOR Wealth Office Bond Sub-Fund
HUF 1,336736 2026.06.29. 7,7% 7,3% 11,9% 9,1% N/A N/A 7,1% 9,6% 2023.05.02. 2
Erste Dollar Base Open-end Investment Fund
USD USD 1,3494 2026.07.01. 1,1% 1,6% 3,5% 4,1% 3% 2% 1,6% 1,6% 2007.11.12. 1
Erste Euro Base Open-end Investment Fund
EUR EUR 1,1892 2026.07.01. 0,6% 0,7% 1,3% 2,3% 1,6% 0,6% 0,7% 0,9% 2007.11.12. 1
Erste Hungarian Bond Investment Fund
HUF 1,22 2026.06.29. 6,4% 6,2% 9,4% N/A N/A N/A 6,2% 8,1% 2023.12.18. 3
Erste Open-ended Base Bond Investment Fund
HUF HUF 3,19501 2026.07.01. 1,6% 2,6% 5,1% 6,7% 7,3% 3,6% 2,6% 4,7% 2001.01.10. 1
Erste Open-ended Interestoptimum Bond Investment Fund
HUF HUF 2,038 2026.06.29. 2,6% 2,6% 5,6% 8% 6,4% 3,7% 2,6% 4,4% 2009.10.21. 2
Eurizon Start 2 Short Bond Sub-Fund
HUF HUF 3,663834 2026.07.01. 2,6% 3% 5,8% 7,2% 6,4% 3,4% 3% 5,1% 2000.05.11. 2
Generali Short Bond Fund A sorozat
HUF HUF 3,216362 2026.06.29. 3,4% 3,9% 6,9% 8,1% 6,4% 3,2% 3,8% 3,9% 2007.10.29. 2
Generali Short Bond Fund B sorozat
HUF HUF 3,495321 2026.06.29. 3,6% 4,1% 7,4% 8,6% 7% 3,7% 4,1% 5,1% 2001.06.08. 2
HOLD Short-Term Bond Investment Fund
HUF HUF 6,116171 2026.06.29. 3,8% 4,4% 7,5% 8,3% 6,8% 3,8% 4,4% 6,6% 1998.05.11. 2
HOLD Wise Safe Short Term Bond Investment Fund
HUF HUF 1,033233 2026.06.29. 1,6% 3% N/A N/A N/A N/A 2,9% 3,3% 2025.12.10. 1
K&H Goldenbasket Responsible Investment Open End Bond Fund
HUF HUF 7,344679 2026.06.26. 5% 4,9% 7,7% 8% 6,6% 3,8% 4,7% 6,4% 1996.10.01. 2
K&H Goldenbasket Responsible Investment Open End Bond Fund I sorozat
HUF HUF 1,175171 2026.06.26. 5,2% 5,4% 8,7% N/A N/A N/A 5,2% 7,2% 2024.03.05. 2
K&H Government Bond Responsible Investment Bond Fund "rendszeres" sorozat
HUF 1,091611 2026.06.26. 2,3% 2,9% 5,4% N/A N/A N/A 2,8% 5,1% 2024.09.24. 2
K&H Government Bond Responsible Investment Bond Fund "normál" sorozat
HUF 1,523156 2026.06.26. 2,3% 2,9% 5,4% 7,2% 6,9% 3,7% 2,8% 3,4% 2013.09.26. 2
K&H Government Bond Responsible Investment Bond Fund F sorozat
HUF 1,545381 2026.06.26. 2,6% 3,5% 6,6% 8,5% 8,1% N/A 3,4% 4,9% 2017.03.29. 1
MARKETPROG Bond Derivatives Bond Sub-Fund I sorozat
HUF 2,713823 2026.06.29. 18,6% 13,8% 17,1% 9,8% 13,4% 9% 13,4% 9,4% 2015.06.03. 5
MARKETPROG Bond Derivatives Bond Sub-Fund D sorozat
HUF 1,778163 2026.06.29. 18,7% 14% 17,6% 10,2% N/A N/A 13,6% 16% 2022.08.16. 4
MARKETPROG Bond Derivatives Bond Sub-Fund U sorozat
USD 0,013285 2026.06.29. 27,6% 18,5% 23,9% N/A N/A N/A 18,1% 13,3% 2024.02.19. 3
MARKETPROG Bond Derivatives Bond Sub-Fund A sorozat
HUF 2,462948 2026.06.29. 18,4% 13,3% 16,1% 8,7% 12,4% 8,1% 12,9% 8,5% 2015.06.03. 5
MARKETPROG Bond Derivatives Bond Sub-Fund C sorozat
HUF 2,324769 2026.06.29. 20,2% 15,4% 19,1% 10,8% 15% N/A 15% 9,9% 2017.09.22. 5
MARKETPROG Bond Derivatives Bond Sub-Fund EUR sorozat
EUR 0,014564 2026.06.29. 8,4% 2,9% 0,9% -0,2% 4,7% 3,8% 2,8% 3,8% 2015.05.23. 5
MBH Base Domestic Short Bond Fund A sorozat
HUF HUF 11,93761 2026.06.29. 3,5% 3,8% 7,1% 8,1% 7% 4% 3,8% 7,4% 1996.02.02. 2
MBH Base Domestic Short Bond Fund I sorozat
HUF HUF 1,581842 2026.06.29. 3,7% 4,2% 7,9% 8,9% 7,6% 4,5% 4,1% 4,4% 2015.10.29. 2
MBH Base Euro Short Bond Fund
EUR EUR 0,932443 2026.06.29. 0,6% 0,5% 1,5% 2,8% -2,3% -0,8% 0,5% -0,6% 2015.09.28. 2
MBH Bonitas Bond Fund
HUF HUF 3,495535 2026.07.01. 1,5% 2,6% 5,1% 6,8% 7,4% 3,8% 2,6% 5,6% 1997.03.03. 1
MBH Bonitas Dollar Bond Fund
USD USD 1,26775 2026.06.29. 0,7% 1,4% 3% 3,8% 2,1% 1,6% 1,4% 1,4% 2009.09.22. 2
MBH Bonitas Euro Bond Fund
EUR EUR 1,125275 2026.06.29. 0,4% 0,8% 1,5% 2,4% 0,7% 0,4% 0,8% 0,7% 2008.08.08. 1
MBH Dollar Short Bond Investment Fund A sorozat
USD USD 1,447642 2026.06.29. 1,3% 1,2% 3,7% 5,6% 1,5% 2,5% 1,2% 2,7% 2012.10.24. 2
MBH Dollar Short Bond Investment Fund HUF sorozat
HUF 1,280105 2026.06.29. 2,8% 3,5% 6,9% 9,2% N/A N/A 3,4% 5,2% 2021.07.22. 2
MBH Investment Card Bond Fund
HUF HUF 1,958418 2026.07.01. 1,2% 1,9% 3,7% 5,4% 6,3% 3,1% 1,9% 6,1% 1995.10.04. 2
OTP Capital Guaranteed Short Bond Fund
HUF HUF 2,342081 2026.07.01. 3,2% 3,6% 6,4% 7,3% 7,4% 3,6% 3,6% 3,6% 2005.01.19. 2
OTP Dollar Short Bond Fund I sorozat
USD 0,017037 2026.07.01. 1,4% 1,9% 4,3% N/A N/A N/A 1,9% 5,5% 2023.07.17. 2
OTP Dollar Short Bond Fund A sorozat
USD USD 0,016811 2026.07.01. 1,3% 1,6% 3,7% 5% 3,7% 2,4% 1,6% 2,1% 2001.12.18. 2
OTP Euro Short Bond Fund I sorozat
EUR 0,01557 2026.07.01. 1,2% 1,3% 2,5% N/A N/A N/A 1,3% 3,7% 2023.07.17. 2
OTP Euro Short Bond Fund A sorozat
EUR EUR 0,015381 2026.07.01. 1,1% 1,1% 2% 3,3% 2% 0,7% 1,1% 1,8% 2001.12.18. 2
OTP Optima Capital Guaranteed Bond Fund A sorozat
HUF HUF 9,327676 2026.07.01. 4,1% 4,3% 7,2% 7,8% 7,2% 4,1% 4,3% 7,7% 1996.04.16. 2
OTP Optima Capital Guaranteed Bond Fund B sorozat
HUF HUF 10,040268 2026.07.01. 4,3% 4,7% 8,1% 8,7% 8% 4,7% 4,7% 4,4% 2014.10.13. 2
Prestige START Bond Derivatives Investment Fund C sorozat
USD 0,0127 2026.06.29. 12,7% 10,4% 16,3% N/A N/A N/A 10,2% 9,3% 2023.10.18. 3
Prestige START Bond Derivatives Investment Fund A sorozat
HUF 1,069671 2026.06.29. 1,7% 2,7% 5,1% 4,9% 3,1% N/A 2,6% 0,7% 2017.01.10. 3
Prestige START Bond Derivatives Investment Fund B sorozat
EUR 0,00225 2026.05.15. 6,5% 9,6% -77,5% N/A N/A N/A 8,9% -44% 2023.10.18. 3
Raiffeisen ESG Short Term Bond Fund of Funds E sorozat
EUR EUR 1,063298 2026.06.30. 0,8% 0,3% 0,7% 2% N/A N/A 0,3% 1,9% 2023.04.24. 2
Raiffeisen ESG Short Term Bond Fund of Funds A sorozat
EUR HUF 1,223243 2026.06.30. 2% 2,7% 5,5% 6,8% N/A N/A 2,7% 6,5% 2023.04.24. 2
Raiffeisen ESG Short Term Bond Fund of Funds U sorozat
EUR USD 1,121449 2026.06.30. 0,7% 0,8% 2,3% 3,6% N/A N/A 0,8% 3,7% 2023.04.24. 2
Raiffeisen Euro Premium Short Bond Fund
EUR EUR 1,153971 2026.06.30. 0,9% 0,9% 1,9% 3% 1,7% 0,9% 0,8% 0,9% 2010.03.08. 2
Raiffeisen Interest Premium Short Bond Fund
HUF HUF 5,308318 2026.06.30. 1,1% 2,2% 4,7% 6,4% 6,6% 3,4% 2,2% 6,1% 1998.04.21. 2
Reverse MAX Bond Derivative Fund A sorozat
HUF 2,354583 2026.06.30. 5,1% 4,8% 7,7% 6,9% 18,4% N/A 4,8% 11% 2018.04.12. 0
Reverse Max Bond Derivatives Fund B sorozat
HUF 2,272671 2026.06.30. 4,7% 4% 5,9% 5,1% 16,4% N/A 3,9% 14,5% 2020.06.12. 0
SIFI Short Bond Fund A sorozat
HUF 1,100698 2026.06.29. 1,3% 2,1% 4,1% N/A N/A N/A 2,2% 4,6% 2024.05.15. 2
VIG Czech Short Term Bond Investment Fund I sorozat
CZK 1,116226 2026.06.29. 1,5% 1,3% 2,9% N/A N/A N/A 1,3% 3,7% 2023.07.03. 2
VIG Czech Short Term Bond Investment Fund A sorozat
CZK 1,100593 2026.06.29. 1,5% 1,1% 2,5% N/A N/A N/A 1,1% 3,2% 2023.07.03. 2
VIG Developed Market Short Term Bond Investment Fund EI sorozat
EUR 1,042817 2026.06.29. 1,3% 0,6% 1,2% N/A N/A N/A 0,6% 1,5% 2023.09.06. 2
VIG Developed Market Short Term Bond Investment Fund E sorozat
EUR 1,053182 2026.06.29. 1,1% 0,4% 0,7% N/A N/A N/A 0,4% 1,9% 2023.09.06. 2
VIG Developed Market Short Term Bond Investment Fund U sorozat
USD 1,117509 2026.06.29. 1,4% 1% 2,8% N/A N/A N/A 1,1% 4,1% 2023.09.06. 2
VIG Developed Market Short Term Bond Investment Fund UI sorozat
USD 1,121887 2026.06.29. 1,7% 1,3% 3,3% N/A N/A N/A 1,3% 4,3% 2023.09.06. 2
VIG Swiss Franc Short Bond Investment Fund HUF-R sorozat
HUF 0,931848 2026.06.29. -9,4% -8,5% -11% N/A N/A N/A -7,7% -3,5% 2024.07.09. 3
VIG Swiss Franc Short Bond Investment Fund CHF- I sorozat
CHF 0,997727 2026.06.29. 0% -0,4% -0,6% N/A N/A N/A -0,3% -0,1% 2024.07.09. 2
VIG Swiss Franc Short Bond Investment Fund CHF-R sorozat
CHF 0,988856 2026.06.29. -0,1% -0,6% -1,1% N/A N/A N/A -0,6% -0,6% 2024.07.23. 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 Bond Fund
HUF HUF 2,061739 2026.06.29. 12,1% 10,9% 14,8% 10% 3,7% 2,8% 10,8% 4,4% 2009.11.03. 3
Amundi Hungarian Bond Fund A sorozat
HUF HUF 7,665567 2026.06.30. 12,9% 11% 14,5% 10% 4,4% 2,9% 11% 7,2% 1997.01.23. 3
Amundi Hungarian Bond Fund I sorozat
HUF HUF 7,718564 2026.02.11. 2,4% 4,1% 6,7% 10,5% 2,9% 2,9% 1,4% 5% 2009.11.25. 3
Amundi Hungarian Bond Fund B sorozat
HUF 7,617149 2026.06.30. 12,8% 10,9% 14,2% N/A N/A N/A 10,8% 9% 2024.06.05. 3
Erste DPM Open-ended Global Bond Fund of Funds
HUF HUF 1,7743 2026.06.29. 3,6% 3,3% 6,9% 9,1% 5,9% 4,3% 3,3% 4,3% 2012.10.26. 3
ERSTE Open-ended XL Bond Investment Fund
HUF HUF 2,8386 2026.06.29. 12,8% 11,6% 15,4% 10,3% 3,1% 2,5% 11,5% 6,2% 2009.03.13. 4
ERSTE Open-ended XL Bond Investment Fund D sorozat
HUF HUF 1,2504 2026.06.29. 13% 12% 16,3% 11,3% 4% N/A 11,9% 2,6% 2017.12.05. 4
Eurizon Kincsem Bond Sub-Fund
HUF HUF 5,3505 2026.06.29. 11% 9% 12,3% 8,4% 2,7% 2,1% 8,9% 5,9% 1997.06.05. 3
Generali Domestic Bond Fund A sorozat
HUF HUF 3,984164 2026.06.29. 10,3% 9,4% 13% 9,6% 3,3% 2,6% 9,3% 4,9% 2007.10.29. 3
Generali Domestic Bond Fund B sorozat
HUF HUF 4,290434 2026.06.29. 10,4% 9,6% 13,6% 10,1% 3,9% 3,1% 9,5% 6% 2001.06.08. 3
HOLD Bond Investment Fund
HUF HUF 4,455412 2026.06.29. 10,5% 9,3% 12,9% 9,9% 3,3% 2,8% 9,2% 6,1% 2001.03.29. 4
K&H HUF Long Term Bond Fund "normál" sorozat
HUF HUF 9,373369 2026.06.26. 12% 10,3% 13,9% 9,6% 3,6% 2,7% 10,2% 5,4% 2000.02.16. 3
K&H HUF Long Term Bond Fund F Sorozat
HUF 1,414163 2026.06.26. 12,3% 11% 15,2% 10,9% 4,8% N/A 10,8% 4,4% 2018.05.22. 3
MBH Domestic Long Bond Fund A sorozat
HUF HUF 10,460045 2026.06.29. 9,6% 8,4% 12,7% 9,9% 4,3% 3% 8,3% 7,2% 1997.02.03. 3
MBH Domestic Long Bond Fund I sorozat
HUF 1,371904 2026.06.29. 9,7% 8,6% 13,1% 10,4% 4,7% N/A 8,5% 3,9% 2018.06.28. 3
OTP Maxima Bond Fund A sorozat
HUF HUF 4,97038 2026.06.29. 13% 11% 14,7% 10,8% 4,5% 3,4% 10,9% 6,5% 2000.12.22. 3
OTP Maxima Bond Fund B sorozat
HUF HUF 5,576325 2026.06.29. 13,3% 11,5% 15,9% 11,9% 5,6% 4,4% 11,4% 4,6% 2014.12.19. 3
OTP Meta Derivative Global Bond Fund I sorozat
USD 1,119209 2026.06.29. 2,3% 2,4% 3,5% 5,8% 2,4% N/A 2,4% 1,9% 2020.05.15. 2
OTP Meta Derivative Global Bond Fund A sorozat
USD 1,081182 2026.06.29. 2,2% 2,3% 3,3% 5,4% 1,9% N/A 2,3% 1,3% 2020.05.15. 2
Raiffeisen Domestic Bond Fund Q sorozat
HUF HUF 1,337324 2026.06.30. 10,4% 9,6% 13,7% 10,6% 6,4% N/A 9,5% 4,4% 2019.08.29. 3
Raiffeisen Domestic Bond Fund I sorozat
HUF 1,496007 2026.06.30. 10,4% 9,5% 13,4% 10,2% 5,7% N/A 9,4% 4,3% 2017.01.12. 3
Raiffeisen Domestic Bond Fund B sorozat
HUF 6,033785 2026.06.30. 10,2% 9,1% 12,7% 9,6% 5,4% N/A 9,1% 3,4% 1997.10.09. 3
Raiffeisen Domestic Bond Fund A sorozat
HUF HUF 6,014241 2026.06.30. 10,2% 9,1% 12,7% 9,6% 5,4% 3,4% 9,1% 6,4% 1997.10.09. 3
VIG GreenBond Fund CZKh-R sorozat
CZK 1,023485 2026.06.29. 3,1% 1,5% N/A N/A N/A N/A 1,6% 2,3% 2025.07.03. 2
VIG GreenBond Fund EUR-R sorozat
EUR 1,013153 2026.06.29. N/A N/A N/A N/A N/A N/A 1,2% 1,2% 2026.06.10. 2
VIG GreenBond Fund USD-I sorozat
USD 1,059061 2026.06.29. 1,9% -2% -0,1% N/A N/A N/A -1,5% 3,2% 2024.08.26. 3
VIG GreenBond Fund USD-R sorozat
USD 0,99929 2026.06.29. N/A N/A N/A N/A N/A N/A 0% 0% 2026.06.10. 3
VIG GreenBond Fund HUF-R sorozat
HUF 0,915797 2026.06.29. -6,5% -7,8% -9,8% N/A N/A N/A -7,2% -4% 2024.08.26. 3
VIG GreenBond Fund EUR-I sorozat
EUR 1,03905 2026.06.29. 3% 1,3% 2,6% N/A N/A N/A 1,4% 2,1% 2024.08.26. 2
VIG Hungarian Bond Investment Fund A sorozat
HUF HUF 6,199139 2026.06.29. 13,2% 10,5% 14,3% 9,3% 2,2% 2,1% 10,4% 6,7% 1998.03.16. 3
VIG Hungarian Bond Investment Fund I sorozat
HUF 1,333584 2026.06.29. 13,6% 11,2% 15,7% 10,7% 3,4% N/A 11,1% 2,9% 2016.12.01. 3
VIG Polish Bond Investment Fund P sorozat
PLN PLN 1,205747 2026.06.29. 3,9% 1,3% 5,2% 5,2% -0,1% 1% 1,3% 1,5% 2014.03.28. 3
VIG Polish Bond Investment Fund A sorozat
PLN HUF 1,899158 2026.06.29. -5,5% -8,7% -7,8% 4,9% 1,1% 2,4% -8,2% 3,4% 2011.11.18. 3
VIG Polish Bond Investment Fund I sorozat
PLN PLN 1,410407 2026.06.29. 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 A sorozat
HUF 1,45678 2026.06.30. 8,4% 7,6% 10,4% 10% 7,2% N/A 7,5% 5,6% 2019.07.17. 3
Amundi Flexible Bond Fund B sorozat
HUF 1,446696 2026.06.30. 8,2% 7,4% 10% N/A N/A N/A 7,3% 8,2% 2024.06.05. 3
Amundi Flexible Bond Fund Z sorozat
HUF 1,58356 2026.06.30. 8,7% 8,3% 11,7% 11,3% 8,5% N/A 8,2% 6,8% 2019.07.17. 3
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. 3
APELSO INCOME Bond Investment Fund I sorozat
HUF 1,093496 2026.06.29. 0% 0% 0% 0% -0,3% 0,7% 0% 0,7% 2014.02.17. 4
APELSO INCOME Bond Investment Fund A sorozat
HUF HUF 1,986472 2026.06.29. 8,9% 7,5% 11,2% 7,4% 5,9% 3,5% 7,4% 3,8% 2008.03.20. 4
Erste Open-Ended Dollar Absolute Return Bond Investment Fund
USD USD 1,3229 2026.06.29. 2,4% 1,6% 5% 6,6% 3,7% N/A 1,6% 2,9% 2016.08.05. 2
Erste Open-Ended Dollar Absolute Return Bond Investment Fund D sorozat
USD USD 1,3395 2026.06.29. 2,6% 2% 5,7% 7,3% 4,4% N/A 2% 3,5% 2017.12.05. 2
Erste Open-ended Euro Absolute Return Bond Investment Fund
EUR 1,0878 2026.06.29. 2,5% 1,4% 3,4% 5% N/A N/A 1,4% 1,8% 2021.09.16. 2
ERSTE Open-ended Total Return Bond Fund D sorozat
HUF HUF 1,6163 2026.06.29. 6,9% 5,9% 8,9% 10,3% 7,8% N/A 5,9% 5,8% 2017.12.05. 2
ERSTE Open-ended Total Return Bond Fund
HUF HUF 2,2805 2026.06.29. 6,6% 5,3% 7,7% 9,2% 6,8% 4,6% 5,3% 5,7% 2011.09.22. 2
Eurizon Global Bond, Sub-Fund of Eurizon Umbrella Fund
HUF 1,1913 2026.06.29. -4,7% -4,3% -3,2% 2,8% 2,4% 1,8% -4,1% 1,5% 2015.04.15. 3
Eurizon Global Corporate Bond Sub-Fund of Eurizon Umbrella Fund
HUF HUF 1,3802 2026.06.29. -4,7% -4,5% -4,5% 4,2% 4,2% 3,1% -4,4% 2,1% 2011.04.18. 4
Gránit Bond Investment Fund
HUF HUF 3,645348 2026.06.29. 9,9% 8,7% 12,8% 9,6% 2,6% 2,5% 8,6% 4,5% 1997.01.09. 3
MBH Corporate FX Bond Fund USD sorozat
USD 1,065764 2026.06.29. 2,2% 1,9% 4,3% N/A N/A N/A 1,9% 5% 2025.02.24. 2
MBH Corporate FX Bond Fund EUR sorozat
EUR EUR 0,006133 2026.06.29. 2,1% 1,6% 2,9% 4,1% 0% 0,1% 1,5% 1,5% 2008.02.19. 2
MBH Corporate FX Bond Fund HUF sorozat
EUR HUF 2,18245 2026.06.29. -7,1% -7,1% -8,9% 2,5% 0,2% 1,3% -6,7% 2,8% 1998.06.03. 3
MBH Corporate FX Bond Fund I sorozat
EUR 1,069628 2026.06.29. 2,2% 1,9% 3,4% 4,7% 0,6% N/A 1,8% 0,7% 2016.12.08. 2
MBH Developed Market Corporate Bond Fund EUR sorozat
EUR EUR 1,135056 2026.06.29. 12,8% 10,5% 16,1% 7,8% 2,8% N/A 10,2% 1,9% 2019.11.28. 3
MBH Developed Market Corporate Bond Fund HUF sorozat
HUF HUF 1,19859 2026.06.29. 2,5% 1,3% 3% 6,2% 2,9% N/A 1,5% 2,8% 2019.11.28. 3
MBH Developed Market Corporate Bond Fund USD sorozat
USD USD 1,174201 2026.06.29. 11,9% 7,2% 13,2% 9,7% 1,9% N/A 7,1% 2,5% 2019.11.28. 3
MBH Emerging Market Bond Fund USD sorozat
Egyéb USD 1,303428 2026.06.29. 11,1% 6,8% 15,8% 10,4% 4,1% 3,1% 6,5% 1,9% 2012.05.11. 3
MBH Emerging Market Bond Fund CZK sorozat
Egyéb CZK 1,483614 2026.06.29. 10,6% 10% 16,5% 9,4% 3,9% 1,6% 9,9% 18,5% 2010.12.22. 3
MBH Emerging Market Bond Fund HUF sorozat
Egyéb HUF 1,939873 2026.06.29. 1,7% 0,9% 5,4% 6,9% 5,1% 3,9% 0,9% 4% 2010.04.28. 3
OTP EMEA Derivative Bond Fund A sorozat
HUF 2,049816 2026.06.29. -6% -4,6% -6,7% 6,2% 5,4% 3,2% -4,2% 5% 2011.12.15. 3
OTP EMEA Derivative Bond Fund I sorozat
HUF 2,235329 2026.06.29. -5,5% -4,1% -5,6% 7,2% 6,3% N/A -3,8% 4,2% 2016.12.06. 3
OTP Strategic EUR Bond Fund A sorozat
EUR 1,128139 2026.06.29. 3,3% 2,2% 4,2% N/A N/A N/A 2,2% 4,8% 2023.11.29. 2
OTP Strategic EUR Bond Fund B sorozat
HUF 1,219739 2026.06.29. 3,9% 4,1% 7,8% N/A N/A N/A 4,1% 8% 2023.11.29. 2
SIFI Bond Fund A sorozat
HUF 1,157553 2026.06.29. 8,4% 7,7% 10,5% N/A N/A N/A 7,7% 7,1% 2024.05.15. 3
VIG Developed Market Traesury Bond Investment Fund I sorozat
HUF 0,96347 2026.06.29. -6% -6% -7,1% 0,4% 0% N/A -5,5% -0,7% 2021.03.19. 4
VIG Developed Market Traesury Bond Investment Fund EI sorozat
EUR 1,004794 2026.06.29. 3,3% 2,8% 4,7% N/A N/A N/A 2,8% -0,4% 2024.11.14. 3
VIG Developed Market Traesury Bond Investment Fund
Egyéb HUF 2,056022 2026.06.29. -6,1% -6,3% -7,8% -0,4% -0,6% -0,1% -5,9% 2,7% 1999.04.21. 4
VIG Developed Market Traesury Bond Investment Fund UI sorozat
USD 1,08841 2026.06.29. 2,2% -0,5% 1,9% N/A N/A N/A -0,2% 4,8% 2024.11.14. 3
VIG Global Emerging Market 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. 3
VIG Global Emerging Market 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. 3
VIG Global Emerging Market Bond Investment Fund I sorozat
HUF 1,150477 2026.06.29. 5,7% 3,2% 12,1% 10,2% -0,2% N/A 3,2% 1,5% 2016.12.30. 3
VIG Global Emerging Market Bond Investment Fund B sorozat
HUF 0,937969 2026.06.29. 6,4% 3,3% 12,4% 9,6% -1,2% N/A 3,3% -1,2% 2020.05.26. 3
VIG Global Emerging Market Bond Investment Fund UI sorozat
USD 1,069877 2026.06.29. 4,8% 2,1% 9,9% 7,2% -3,3% N/A 2,1% 0,7% 2017.01.05. 3
VIG Global Emerging Market Bond Investment Fund U sorozat
USD 0,86488 2026.06.29. 4,7% 1,9% 9,3% 6,6% -2,6% N/A 1,8% -2,6% 2020.05.26. 3
VIG Global Emerging Market Bond Investment Fund A sorozat
EUR EUR 0,813716 2026.06.29. 4,5% 0,9% 7% 4,6% -6% -2% 0,8% -1,1% 2007.12.11. 3
VIG Global Emerging Market 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. 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/Deliberate
Erste Euro Savings Mixed Investment Fund
EUR 1,0169 2026.06.29. 1,3% 0,6% 1,7% N/A N/A N/A 0,6% 1,6% 2025.06.11. 2
Erste Multi Asset Base Fund of Funds
HUF HUF 2,2928 2026.06.29. 7,1% 5,9% 10,6% 11,1% 7,8% 5,6% 5,8% 5,6% 2011.03.02. 3
Eurizon Euro Relax Balanced Sub-Fund
EUR 0,01135 2026.06.29. 2,4% 1,3% 3,1% 4,1% 2,3% 1,3% 1,3% 1,2% 2015.08.26. 2
Eurizon HU Conservative Private Banking Wealth Mixed Sub-Fund of Funds USD sorozat
EUR,USD USD 0,011811 2026.06.29. 3,1% -0,3% 4% N/A N/A N/A -0,3% 12,3% 2025.01.21. 2
Eurizon HU Conservative Private Banking Wealth Mixed Sub-Fund of Funds HUF sorozat
EUR,USD HUF 0,934534 2026.06.29. -5,1% -5,7% -5,1% N/A N/A N/A -5,5% -4,6% 2025.01.21. 2
Eurizon HU Conservative Private Banking Wealth Mixed Sub-Fund of Funds EUR sorozat
EUR,USD EUR 0,010834 2026.06.29. 4,2% 3,1% 7% N/A N/A N/A 3% 5,8% 2025.01.21. 2
Eurizon HU Rhythm Mixed Sub-Fund of Funds HUF sorozat
HUF 1,012661 2026.06.29. N/A N/A N/A N/A N/A N/A 1,3% 1,3% 2026.03.27. 5
Eurizon Relax Balanced Sub-Fund
HUF 1,4176 2026.06.29. 3,8% 3,6% 6,8% 8,1% 6,5% 3,5% 3,5% 3,3% 2015.08.26. 2
K&H Comfort Responsible Investment Open Ended Fund of Funds normál sorozat
HUF 1,328579 2026.06.25. 6% 4,6% 8,9% 8,9% 5,2% N/A 4,8% 4,6% 2020.03.18. 3
K&H Comfort Responsible Investment Open Ended Fund of Funds I sorozat
HUF 1,207187 2026.06.25. 6,3% 5,2% 10% N/A N/A N/A 5,3% 8,9% 2024.04.22. 3
K&H Comfort Responsible Investment Open Ended Fund of Funds rendszeres sorozat
HUF 1,325194 2026.06.25. 6% 4,6% 8,9% 8,9% 5,2% N/A 4,8% 4,6% 2020.03.18. 3
K&H global balanced fund of open-ended investment funds EUR sorozat
EUR EUR 1,452442 2026.06.25. 5,6% 4,1% 8,1% 6% 1,8% 1,8% 4,2% 2,4% 2010.10.11. 4
K&H global balanced fund of open-ended investment funds USD sorozat
USD 1,239109 2026.06.25. 5% 3,2% 8,8% 7,7% 1,1% N/A 3,5% 2,3% 2016.10.07. 4
K&H Selected Comfort Fund of Funds I sorozat
HUF 1,197002 2026.06.25. 5,9% 5,1% 10% N/A N/A N/A 5,2% 8,4% 2024.04.09. 3
K&H Selected Comfort Fund of Funds normál sorozat
HUF 2,979671 2026.06.25. 5,6% 4,5% 8,8% 8,9% 4,7% 3,6% 4,6% 5,2% 2004.10.15. 3
K&H Selected Comfort Fund of Funds Rendszeres sorozat
HUF 1,378033 2026.06.25. 5,6% 4,5% 8,8% 8,9% 4,7% N/A 4,6% 4,2% 2018.09.10. 3
OTP Céldátum 2025 Alapba Fektető Alap I sorozat
HUF HUF 1,359898 2026.06.29. 2,4% 3,8% 7% 9,2% 6% N/A 3,7% 5,8% 2021.01.06. 2
OTP Céldátum 2025 Alapba Fektető Alap A sorozat
HUF HUF 1,309324 2026.06.29. 2,2% 3,4% 6,2% 8,4% 5,3% N/A 3,4% 5,1% 2021.01.06. 2
OTP Premium Active Classic Fund of Funds
HUF HUF 1,716583 2026.06.29. 4,6% 5,3% 9,7% 10% 7,3% 5,4% 5,2% 5,2% 2015.11.05. 2
OTP Premium Classic Fund
HUF HUF 3,123531 2026.06.29. 3,4% 6,3% 8,9% 9,5% 7,9% 5,1% 6,1% 6% 2006.12.12. 2
OTP Premium Trend Classic Fund of Funds
HUF HUF 1,753252 2026.06.29. 5% 5% 7,5% 7,8% 7,4% 5,9% 5,3% 5,4% 2015.11.05. 2
Raiffeisen ESG Conservative Balanced Fund of Funds F sorozat
EUR 0,930183 2026.06.30. 5% 2,8% 4,3% 4,1% 1,6% N/A 2,7% 1% 2017.08.22. 2
Raiffeisen ESG Conservative Balanced Fund of Funds E sorozat
EUR 0,925667 2026.06.30. 5% 2,8% 4,3% 4,1% 1,6% -0,6% 2,7% -0,4% 2007.11.05. 2
Raiffeisen ESG Conservative Balanced Fund of Funds U sorozat
USD 1,305816 2026.06.30. 3,9% -0,4% 1,6% 5,4% N/A N/A -0,5% 7,8% 2022.09.26. 3
Raiffeisen ESG Conservative Balanced Fund of Funds A sorozat
HUF 1,239164 2026.06.30. -4,4% -6% -7,5% 2,5% 1,8% N/A -5,9% 2,5% 2017.09.22. 3
VIG Conservative Sub-Fund of Funds A sorozat
HUF 1,438544 2026.06.29. 5,7% 5,2% 8,9% 8,4% 4,3% 3,2% 5,2% 3,2% 2014.10.27. 2
VIG Conservative Sub-Fund of Funds B sorozat
HUF 1,175029 2026.06.29. 5,5% 4,6% 7,8% 7,4% 3,3% N/A 4,7% 2,9% 2020.09.17. 2
VIG Tempo Andante 1 Investing in Funds Sub-Fund
HUF 1,522578 2026.06.29. 5,8% 5,4% 8,9% 8,4% 6% 3,7% 5,4% 3,7% 2014.10.27. 2
VIG Tempo Andante 3 Investing in Funds Sub-Fund
HUF 1,496591 2026.06.29. 6,2% 5,3% 9,4% 9% 4,7% 3,6% 5,3% 3,5% 2014.10.27. 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
Mixed/Balanced
Accorde Cuvée Fund A sorozat
HUF 2,045411 2026.06.29. 7,4% 6,7% 15,1% 18,3% 14,2% N/A 6,7% 10,1% 2019.01.21. 3
Accorde Cuvée Fund B sorozat
EUR 1,580747 2026.06.29. 6,7% 5,2% 14,1% 14,6% 9,1% N/A 5,2% 6,4% 2019.01.21. 3
Accorde Cuvée Fund C sorozat
USD 1,788663 2026.06.29. 7,3% 6,3% 16,6% 16,3% N/A N/A 6,3% 16,5% 2022.09.08. 3
Amundi Age Trend Balanced Fund of Funds
HUF 1,476616 2026.06.29. 7% 0,5% 2,4% 5,8% 4,3% N/A 1% 5,5% 2019.03.07. 3
Amundi Climate ESG Fund of Funds A sorozat
HUF 1,286568 2026.06.29. -0,5% -3,7% -2,7% 6,1% 4,2% N/A -3,2% 4,7% 2020.12.11. 3
Amundi Disruptive Companies Balanced Fund A
HUF 1,646686 2026.06.29. 11,6% 3,3% 7,1% 11,9% 4,5% N/A 3,9% 7,2% 2019.05.06. 3
Amundi Future Intracultural Balanced Fund
HUF 1,745016 2026.06.29. -1% 6,6% 12,2% 10,4% 6,4% N/A 7,1% 5,9% 2016.10.05. 3
Amundi International Balanced Fund 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. 3
Amundi International Balanced Fund A Sorozat
Egyéb HUF 6,472452 2026.06.29. 9,3% 6,8% 15,4% 13,7% 8,2% 7,7% 6,9% 8,5% 2009.02.26. 3
Amundi International Balanced Fund D Sorozat
Egyéb HUF 6,82232 2026.06.29. 9,5% 7,1% 16% 14,3% 8,7% 8,1% 7,3% 7,5% 2000.10.27. 3
APELSO Wealth Management Balanced Mixed Fund B sorozat
HUF 1,05382 2026.06.29. 4,4% 3,7% 7,6% N/A N/A N/A 3,8% 3,4% 2025.01.31. 4
APELSO Wealth Management Balanced Mixed Fund EUR sorozat
EUR 0,00969 2026.06.29. 9,4% 8,2% 15,6% 5,8% 1% N/A 7,7% -0,6% 2021.02.15. 4
APELSO Wealth Management Balanced Mixed Fund HUF sorozat
Egyéb HUF 1,017793 2026.06.29. 4,3% 3,5% 7,2% 5,2% 1,8% 0,9% 3,6% 0,1% 2009.05.19. 4
APELSO Wealth Management EUR Balanced Mixed Subfund
EUR 0,012409 2026.06.29. 6,7% 5,5% 17,2% 8,1% N/A N/A 5,4% 7,2% 2023.01.02. 5
BFM Balanced Fund
CZK / Egyéb CZK 1,629041 2026.06.29. 5,9% 5,2% 13% 12,1% 7,1% 5% 5,2% 2,8% 2008.08.25. 3
BFM Conservative Balanced Fund
CZK / Egyéb CZK 1,533377 2026.06.29. 3,4% 2,8% 6,9% 7,4% 4,8% 3,1% 2,7% 2,3% 2007.10.15. 2
Erste Dollár Duett Fund of Funds
USD USD 1,402 2026.06.29. 1,4% 2,1% 4,2% 4,4% 3,8% N/A 2% 3,5% 2016.08.05. 1
Erste Duett Fund of Funds
HUF HUF 2,7868 2026.06.29. 1,9% 3,1% 6,3% 7,3% 7,9% 4,6% 3,1% 5,1% 2005.09.22. 1
Erste Multi Asset Balanced Mixed Security Fund
Egyéb HUF 1,8233 2026.06.29. 8,7% 9,6% 15,9% 14,2% 9,3% N/A 9,5% 7,7% 2018.05.17. 4
Erste Multi Asset Diversified EUR Fund of Funds
EUR 1,1003 2026.06.29. 5,7% 5,4% N/A N/A N/A N/A 5% 10% 2025.09.10. 3
Erste Multi Asset Diversified Fund of Funds
Egyéb HUF 1,6999 2026.06.29. 3% 3,3% 11,3% 11,8% 7,9% N/A 3,2% 7,9% 2019.07.01. 4
Erste Multi Asset ESG Active EUR Fund of Funds
EUR 1,2219 2026.06.29. 7,1% 4,2% 8% 6,2% N/A N/A 4% 5% 2022.05.31. 4
Erste Multi Asset ESG Active Fund of Funds
HUF HUF 2,2347 2026.06.29. 7,7% 5,8% 10,6% 10,1% 6,3% 5,3% 5,6% 5,4% 2011.03.02. 4
Erste Real Assets EUR Fund of Funds
EUR EUR 1,4343 2026.06.29. 4,7% 11,1% 21,6% 12,4% 5,6% 4,1% 10,5% 3,2% 2014.11.18. 5
Erste Real Assets HUF Fund of Funds
HUF 1,5263 2026.06.29. -1,9% 5,2% 13,5% 13,2% N/A N/A 4,9% 8,8% 2021.06.17. 5
Erste Real Assets USD Fund of Funds
Egyéb USD 1,5846 2026.06.29. 3,9% 9,2% 21,1% 14% 6,2% N/A 8,9% 6,5% 2019.02.25. 5
Erste Savings Fund of Funds
HUF HUF 2,1582 2026.06.29. 3% 2,9% 5,6% 7,7% 6,9% 4,4% 2,9% 3,9% 2006.07.28. 2
Eurizon Balanced Private Banking Asset Mixed Sub-Fund of Funds HUF sorozat
EUR,USD HUF 1,626242 2026.06.29. -2,7% -3,6% -0,8% 7,4% 6,6% N/A -3,5% 6,7% 2018.11.19. 3
Eurizon Balanced Sub-Fund of Funds
HUF 1,4404 2026.06.29. -0,9% -1,7% 1,4% 9,1% 5,6% 3,9% -1,6% 3,3% 2014.12.10. 3
Eurizon Dollar Balanced Private Banking Wealth Mixed Sub-Fund of Funds USD sorozat
USD 0,012979 2026.06.29. 5,8% 4,6% 11,6% 10,3% N/A N/A 4,4% 5,5% 2021.08.23. 2
Eurizon Euro Balanced Sub-Fund of Funds
EUR 0,012693 2026.06.29. 8% 6,5% 12,7% 10,1% 4,8% 3,1% 6,4% 2,2% 2015.06.15. 4
Gránit Harmony Balanced Investment Fund A sorozat
HUF/EUR/USD HUF 1,936699 2026.06.29. 5,5% 7,2% 12% 12,3% 9,8% 6,7% 7,2% 6,6% 2016.02.15. 2
HOLD 2000 Mixed Fund A sorozat HUF
HUF 17,827266 2026.06.29. 5,5% 7,1% 16,1% 17,8% 13,3% 9,1% 7,1% 10,5% 1997.08.27. 3
HOLD 2000 Mixed Fund I sorozat
HUF 2,287493 2026.06.29. 5,7% 7,5% 16,9% 18,6% 14,1% N/A 7,4% 15,5% 2020.09.28. 3
HOLD 2000 Mixed Fund B sorozat EUR
EUR 1,660997 2026.06.29. 4,9% 5,5% 12,1% 12,8% 7,3% N/A 5,5% 9,2% 2020.10.28. 3
HOLD 3000 Open Ended Mixed Fund B sorozat EUR
EUR 2,204076 2026.06.29. 7% 8,4% 17,8% 18,9% 11,3% N/A 8,3% 14,5% 2020.09.10. 3
HOLD 3000 Open Ended Mixed Fund I sorozat HUF
HUF 3,034636 2026.06.29. 7,8% 10,4% 22,8% 24,8% 18,2% N/A 10,2% 20,9% 2020.06.12. 3
HOLD 3000 Open Ended Mixed Fund A sorozat HUF
HUF 3,341507 2026.06.29. 7,6% 10% 21,9% 23,8% 17,3% 12,8% 9,8% 12% 2015.11.02. 3
K&H Selected Impulse Fund of Funds I sorozat
HUF 1,232218 2026.06.25. 7,1% 5% 12,9% N/A N/A N/A 5,3% 9,9% 2024.04.09. 4
K&H Selected Impulse Fund of Funds normál sorozat
HUF 4,107709 2026.06.25. 6,8% 4,4% 11,5% 11,1% 7% 6,7% 4,7% 6,7% 2004.10.15. 4
K&H Selected Impulse Fund of Funds Rendszeres sorozat
HUF 1,789696 2026.06.25. 6,8% 4,4% 11,5% 11,1% 7% N/A 4,7% 7,8% 2018.09.10. 4
MBH Equilibrium Balanced Securities Fund B sorozat
HUF 1,279693 2025.01.21. 4,4% 7,7% 15,2% N/A N/A N/A 1,2% 18,2% 2023.07.31. 3
MBH Equilibrium Balanced Securities Fund USD sorozat
USD 1,217971 2026.06.29. 9,6% 7,2% 11,7% N/A N/A N/A 7,2% 13,7% 2024.12.03. 3
MBH Equilibrium Balanced Securities Fund EUR sorozat
EUR 1,164916 2026.06.29. 9,2% 6,7% 10% N/A N/A N/A 6,6% 10,8% 2024.12.03. 3
MBH Equilibrium Balanced Securities Fund A sorozat
HUF 2,202881 2026.06.29. 9,1% 7,7% 13,1% 14,3% 6,5% 6,1% 7,6% 6,2% 2013.04.25. 3
MBH Premium Balanced Mixed Investment Subfund A sorozat
HUF 1,687202 2026.06.29. 6% 3% 8% 8,8% 6,2% 5,4% 3,2% 5,2% 2016.03.01. 3
MBH Premium Conservative Mixed Investment Subfund A sorozat
HUF 1,600397 2026.06.29. 6,4% 3,5% 8,7% 8,4% 6,8% 4,8% 3,6% 4,7% 2016.03.01. 2
MBH Real Estate Market Fund of Funds
HUF 1,093166 2026.06.29. 1,9% 3% 5,6% N/A N/A N/A 2,9% 5,2% 2024.09.24. 2
MBH Scheduled 3 Fund of Funds HUF sorozat
HUF 1,08876 2026.06.29. 4,9% 3,4% 7,3% N/A N/A N/A 3,6% 6,6% 2025.02.26. 3
MBH Scheduled 3 Fund of Funds EUR sorozat
EUR 1,060146 2026.06.29. 5,2% 3,1% 5,9% N/A N/A N/A 3,2% 5,8% 2025.04.09. 2
MBH Scheduled 3 Fund of Funds USD sorozat
USD 1,09945 2026.06.29. 4,6% 6,9% 10% N/A N/A N/A 7% 9,9% 2025.04.09. 3
OTP Multi-Asset Balanced Fund of Funds
EUR 1,347957 2026.06.29. 4,9% 4,5% 10,5% 8,1% N/A N/A 4,4% 8,1% 2022.08.26. 3
OTP Multi-Asset Conservative Fund of Funds
EUR 1,199461 2026.06.29. 3,4% 3% 7,5% 5,7% N/A N/A 2,9% 4,8% 2022.08.26. 3
OTP Palette Derivative Mixed Fund I sorozat
HUF 9,067532 2026.06.29. 3,4% 6,3% 13,2% 14,6% 9,3% N/A 6,2% 7,8% 1997.11.17. 3
OTP Palette Derivative Mixed Fund A sorozat
HUF 8,584118 2026.06.29. 3,2% 5,9% 12,4% 13,9% 8,6% 7,2% 5,9% 7,8% 1997.11.17. 3
OTP Premium Balanced Fund
HUF 3,057921 2026.06.29. 3,3% 6,9% 11,7% 12,3% 8,3% 6,9% 6,7% 5,9% 2006.12.12. 3
OTP Premium Euro Fund
EUR 1,604695 2026.06.29. 5,6% 9,3% 14,9% 9,8% 4,2% 4,3% 8,9% 2,4% 2006.12.12. 3
OTP Target Date Mixed Fund of Funds 2030 I sorozat
HUF/EUR/USD HUF 1,547996 2026.06.29. 6,4% 5,5% 9,9% 11,8% 8,2% N/A 5,6% 8,4% 2021.01.06. 3
OTP Target Date Mixed Fund of Funds 2030 A sorozat
HUF/EUR/USD HUF 1,490486 2026.06.29. 6,3% 5,1% 9,2% 11% 7,4% N/A 5,2% 7,6% 2021.01.06. 3
Raiffeisen ESG Balanced Fund of Funds E sorozat
EUR 1,15128 2026.06.30. 9,6% 5,8% 10% N/A 1,8% 2% 5,7% 1,4% 2015.04.28. 3
Raiffeisen ESG Balanced Fund of Funds F sorozat
EUR 1,170298 2026.06.30. 9,5% 5,5% 9,4% 6,2% 2,2% N/A 5,4% 2,6% 2020.01.29. 3
Raiffeisen ESG Balanced Fund of Funds A sorozat
HUF 1,603326 2026.06.30. 9% 4,6% 10,1% 10,4% 8,1% N/A 4,6% 7,7% 2020.01.29. 3
Raiffeisen ESG Balanced Fund of Funds U sorozat
USD 1,217007 2026.06.30. 8,3% 2,1% 6,5% 7,7% 1,3% N/A 2% 3,2% 2020.01.29. 3
SIFI Optimum Mixed Securities Fund A sorozat
HUF 1,164348 2026.06.29. 4,7% 4,7% 11,9% N/A N/A N/A 4,7% 13% 2025.03.26. 3
VIG Balanced Sub-Fund of Funds A sorozat
HUF 1,807096 2026.06.29. 5,8% 5,5% 11,6% 11,9% 6,5% 5,6% 5,6% 5,2% 2014.10.27. 3
VIG Balanced Sub-Fund of Funds B sorozat
HUF 1,362806 2026.06.29. 5,5% 5% 10,5% 10,8% 5,5% N/A 5,1% 5,7% 2020.09.17. 3
VIG Tempo Moderato 4 Investing in Funds Sub-Fund
HUF 1,649413 2026.06.29. 5,7% 5,5% 10,7% 10,6% 5,6% 4,6% 5,6% 4,4% 2014.10.27. 3
VIG Tempo Moderato 5 Investing in Funds Sub-Fund
HUF 1,731777 2026.06.29. 5,8% 5,5% 11,2% 11,3% 6,2% 5,1% 5,6% 4,8% 2014.10.27. 3
VIG Tempo Moderato 7 Investing in Funds Sub-Fund
HUF 1,901693 2026.06.29. 5,7% 5,6% 12% 12,5% 7,1% 6,2% 5,7% 5,7% 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/Dynamic
Amundi Emerging Markets Balanced Fund of Funds A Sorozat
Egyéb HUF 2,13746 2026.06.29. 7,9% 8,3% 17% 11,5% 2,2% 5,4% 8,4% 5,2% 2011.05.13. 4
Erste Multi Asset Growth Mixed Security Fund
Egyéb HUF 3,813 2026.06.29. 13,1% 14% 22,5% 17,1% 10,5% 9,8% 14% 8,6% 2010.03.22. 5
Eurizon Balanced Private Banking Asset Mixed Sub-Fund of Funds EUR sorozat
EUR,USD EUR 0,011014 2026.06.29. 6,8% 5,4% 11,9% N/A N/A N/A 5,2% 7,5% 2025.02.24. 3
Eurizon Dynamic Private Banking Wealth Mixed Sub-Fund of Funds USD sorozat
USD 0,012749 2026.06.29. 9,1% 4,7% 14,2% N/A N/A N/A 4,5% 18,5% 2025.01.21. 4
Eurizon Dynamic Private Banking Wealth Mixed Sub-Fund of Funds EUR sorozat
EUR 0,011602 2026.06.29. 10,4% 8% 17,1% N/A N/A N/A 7,7% 10,9% 2025.01.21. 4
Eurizon Dynamic Private Banking Wealth Mixed Sub-Fund of Funds HUF sorozat
HUF 1,002673 2026.06.29. 0,5% -1,2% 3,9% N/A N/A N/A -1,2% 0,2% 2025.01.21. 4
Eurizon Euro Reflex Balanced Sub-Fund of Funds
EUR 0,011671 2026.06.29. 6,5% 4,3% 7,8% 6,3% 2,7% N/A 4,2% 1,8% 2017.10.17. 3
Eurizon Reflex Balanced Sub-Fund of Funds
HUF 1,7431 2026.06.29. 7% 5,7% 11,4% 11,2% 8,3% 5,6% 5,6% 5,5% 2016.02.03. 4
Gránit Impulse Balanced Securities Fund
HUF 1,883463 2026.06.29. 6,6% 4,9% 10,6% 11,6% 8,4% N/A 5% 10,5% 2020.03.10. 3
K&H Impulse Responsible Investment Open Ended Fund of Funds I sorozat
HUF 1,249093 2026.06.25. 8,3% 5,5% 13,1% N/A N/A N/A 6,2% 10,7% 2024.04.22. 4
K&H Impulse Responsible Investment Open Ended Fund of Funds rendszeres sorozat
HUF 1,566055 2026.06.25. 8% 4,9% 11,8% 11% 7,1% N/A 5,6% 7,2% 2019.11.18. 4
K&H Impulse Responsible Investment Open Ended Fund of Funds normál sorozat
HUF 1,566369 2026.06.25. 8% 4,9% 11,8% 11% 7,1% N/A 5,6% 7% 2019.11.18. 4
K&H Pace Responsible Investment Open Ended Fund of Funds normál sorozat
HUF 1,411911 2026.06.25. 7,8% 4,1% 12,4% 12% N/A N/A 5,1% 8,4% 2022.03.21. 4
K&H Pace Responsible Investment Open Ended Fund of Funds rendszeres sorozat
HUF 1,411911 2026.06.25. 7,8% 4,1% 12,4% 12% N/A N/A 5,1% 8,4% 2022.03.17. 4
K&H Pace Responsible Investment Open Ended Fund of Funds I sorozat
HUF 1,256303 2026.06.25. 8,2% 4,7% 13,8% N/A N/A N/A 5,8% 11,1% 2024.05.03. 4
K&H Private Banking Yieldpaying Open Ended Fund of Funds
HUF 1120,93 2026.06.25. 1,4% 2,2% 7,2% 5,9% 2,4% N/A 2,3% 1,7% 2019.10.21. 5
K&H Selected Pace Fund of Funds
HUF 5,400855 2026.06.25. 6,2% 3,4% 12,2% 12,3% 9% 9,3% 3,9% 8,1% 2004.10.15. 5
K&H Selected Pace Fund of Funds Rendszeres sorozat
HUF 2,053467 2026.06.25. 6,2% 3,4% 12,2% 12,3% 9% N/A 3,9% 10,8% 2019.06.17. 5
K&H Selected Pace Fund of Funds I sorozat
HUF 1,244175 2026.06.25. 6,6% 4,1% 13,6% N/A N/A N/A 4,5% 10,5% 2024.04.09. 5
MBH Growth Mixed Fund EUR sorozat
EUR 1,138116 2026.06.29. 7,3% 4,1% 9,8% N/A N/A N/A 3,9% 9,3% 2024.11.29. 3
MBH Growth Mixed Fund A sorozat
HUF 1,951439 2026.06.29. 7,3% 5,2% 10,1% 9,4% 7,7% 6,3% 5,3% 5,9% 2014.11.17. 3
MBH Growth Mixed Fund USD sorozat
USD 1,289942 2026.06.29. 7,5% 4,6% 11% N/A N/A N/A 4,6% 18,7% 2024.11.29. 3
MBH Growth Mixed Fund I sorozat
HUF 1,337733 2026.06.29. 7,4% 5,7% 11,9% N/A N/A N/A 5,8% 11,5% 2023.08.01. 3
MBH Premium Dynamic Mixed Investment Subfund A sorozat
HUF 2,082757 2026.06.29. 7,2% 3,9% 9,4% 11,6% 8% 7,7% 4,2% 7,4% 2016.03.01. 3
MBH Premium Progressive Mixed Investment Subfund A sorozat
HUF 1,915957 2026.06.29. 6,9% 3,8% 9,2% 11% 7,8% 6,7% 4% 6,6% 2016.03.01. 3
OTP Multi-Asset Dynamic Fund of Funds
EUR 1,420854 2026.06.29. 4,9% 4,5% 10,7% 9% N/A N/A 4,4% 9,6% 2022.08.26. 3
OTP Premium Growth Fund
HUF 2,798386 2026.06.29. 4,5% 6,9% 13,8% 14,5% 8,2% 8,3% 6,8% 5,4% 2006.12.12. 3
OTP Target-Date 2040 Fund of Funds I sorozat
HUF/EUR/USD HUF 1,693324 2026.06.29. 5,3% 3,6% 10,1% 13,6% 9,6% N/A 3,8% 10,2% 2021.01.06. 4
OTP Target-Date 2040 Fund of Funds A sorozat
HUF/EUR/USD HUF 1,630332 2026.06.29. 5,1% 3,3% 9,4% 12,8% 8,9% N/A 3,5% 9,4% 2021.01.06. 4
OTP Target-Date 2045 Fund of Funds I sorozat
HUF/EUR/USD HUF 1,739868 2026.06.29. 5,7% 3,8% 10,7% 14,2% 10,1% N/A 4% 10,8% 2021.01.06. 4
OTP Target-Date 2045 Fund of Funds A sorozat
HUF/EUR/USD HUF 1,675135 2026.06.29. 5,5% 3,4% 9,9% 13,4% 9,4% N/A 3,7% 10% 2021.01.06. 4
OTP Target-Date 2050 Fund of Funds I sorozat
HUF/EUR/USD HUF 1,771707 2026.06.29. 5,8% 3,8% 11% 14,5% 10,4% N/A 4,1% 11,1% 2021.01.06. 4
OTP Target-Date 2050 Fund of Funds A sorozat
HUF/EUR/USD HUF 1,705868 2026.06.29. 5,7% 3,5% 10,2% 13,7% 9,6% N/A 3,7% 10,3% 2021.01.06. 4
OTP Target Date Mixed Fund of Funds 2035 A sorozat
HUF/EUR/USD HUF 1,594702 2026.06.29. 5,2% 3,7% 9,1% 12,3% 8,5% N/A 3,9% 9% 2021.01.06. 3
OTP Target Date Mixed Fund of Funds 2035 I sorozat
HUF/EUR/USD HUF 1,656321 2026.06.29. 5,4% 4,1% 9,9% 13,1% 9,3% N/A 4,3% 9,8% 2021.01.06. 3
SIFI Global Mixed Fund of Funds A sorozat
HUF 1,018824 2026.06.29. 1,8% 0,2% N/A N/A N/A N/A 0,6% 1,9% 2020.04.21. 4
VIG Active Beta Flexible Allocation Fund EUR-RP sorozat
EUR 1,174854 2026.06.29. 9,6% 10,5% 15,8% N/A N/A N/A 10,1% 7,8% 2024.10.08. 3
VIG Active Beta Flexible Allocation Fund USD-IP sorozat
USD 1,249807 2026.06.29. 8,7% 7,5% 14% N/A N/A N/A 7,5% 13,1% 2024.08.27. 3
VIG Active Beta Flexible Allocation Fund EUR-IP sorozat
EUR 1,224135 2026.06.29. 10,1% 11,1% 17,1% N/A N/A N/A 10,7% 11,3% 2024.08.27. 3
VIG Active Beta Flexible Allocation Fund USD-RP sorozat
USD 1,217687 2026.06.29. 8,4% 6,9% 12,6% N/A N/A N/A 6,9% 15,1% 2024.10.08. 3
VIG Active Beta Flexible Allocation Fund HUF-RP sorozat
HUF 1,074754 2026.06.29. -0,2% 1% 2,7% N/A N/A N/A 1,3% 3,9% 2024.08.27. 4
VIG Growth Sub-Fund of Funds A sorozat
HUF 2,136797 2026.06.29. 6,4% 7,1% 16% 15,9% 9,1% 7,8% 7,2% 6,7% 2014.10.27. 3
VIG Growth Sub-Fund of Funds B sorozat
HUF 1,579848 2026.06.29. 6,1% 6,6% 14,8% 14,7% 8% N/A 6,7% 8,5% 2020.09.17. 3
VIG Premium Everest Sub Fund of Funds EUR R sorozat
EUR 1,057061 2026.06.29. N/A N/A N/A N/A N/A N/A 6,6% 6,6% 2026.04.27. 3
VIG Premium Everest Sub Fund of Funds USD-R sorozat
USD 1,025391 2026.06.29. N/A N/A N/A N/A N/A N/A 3,8% 3,8% 2026.04.27. 4
VIG Premium Everest Sub Fund of Funds HUF-R sorozat
HUF 2,122126 2026.06.29. 3,9% 12,2% 20,2% 15,3% 8,6% 7,7% 12,5% 7,5% 2016.03.07. 3
VIG Tempo Allegro 8 Investing in Funds Sub-Fund
HUF 2,032804 2026.06.29. 5,7% 6,1% 13,8% 14,2% 8,2% 7% 6,3% 6,3% 2014.10.27. 3
VIG Tempo Allegro 9 Investing in Funds Sub-Fund
HUF 2,048068 2026.06.29. 5,9% 6,4% 14,4% 14,7% 8,5% 7,3% 6,5% 6,3% 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
Stock
Accorde Blanc Equity Fund A sorozat
HUF 1,138643 2026.06.29. 11,2% 7,5% N/A N/A N/A N/A 7,8% 13,9% 2025.07.15. 4
Accorde Blanc Equity Fund C sorozat
USD 2,023695 2026.06.29. 23,5% 16,2% 27,9% 22,2% 12,9% N/A 16,3% 13,9% 2021.01.28. 4
Accorde Blanc Equity Fund B sorozat
EUR 1,74476 2026.06.29. 20,8% 16,1% 27,9% 18,3% 9,6% N/A 15,8% 10,8% 2021.01.28. 4
Accorde First Romanian Equity Fund A sorozat
HUF 4,410033 2026.06.29. 1,8% 15,2% 41,1% 30,3% 21,3% N/A 15,1% 17,1% 2017.02.02. 4
Accorde First Romanian Equity Fund B sorozat
EUR 3,978355 2026.06.29. 11,8% 26% 64,8% 34,2% 19,5% N/A 25,2% 15,8% 2017.02.02. 4
Accorde First Romanian Equity Fund I sorozat
HUF 4,800523 2026.06.29. 2% 15,7% 41,9% 31,3% 22,4% N/A 15,6% 18,2% 2017.02.02. 4
Accorde Spartan Greek Equity Fund B sorozat
EUR 2,71589 2026.06.29. 21,2% 15,7% 31,2% 25,7% 24,8% N/A 15,9% 15,3% 2019.07.01. 5
Accorde Spartan Greek Equity Fund A sorozat
HUF 2,611098 2026.06.29. 10,4% 5,8% 15,8% 23,3% 23,5% N/A 6,6% 14,7% 2019.07.01. 5
Accorde Spartan Greek Equity Fund I sorozat
HUF 2,802983 2026.06.29. 10,6% 6,3% 16,2% 24,1% 24,6% N/A 7,1% 15,9% 2019.07.01. 5
Accorde Wojtek Polish Equity Fund B sorozat
EUR 2,015765 2026.06.29. 10,2% 11,1% 26,2% 23,1% 11,7% N/A 10,6% 9,3% 2018.08.15. 4
Accorde Wojtek Polish Equity Fund I sorozat
HUF 2,404666 2026.06.29. 0,6% 2,1% 11,5% 21,4% 14,5% N/A 2,1% 11,8% 2018.08.15. 4
Accorde Wojtek Polish Equity Fund A sorozat
HUF 2,243509 2026.06.29. 0,4% 1,6% 11,1% 20,5% 13,6% N/A 1,6% 10,8% 2018.08.15. 4
Accorde World International Equity Fund C sorozat
USD 1,786273 2026.06.29. 13,8% 6,9% 17,8% 16,2% 9,5% N/A 7% 8,5% 2019.06.06. 4
Accorde World International Equity Fund B sorozat
EUR 1,472506 2026.06.29. 15% 10,5% 21% 15% 6,1% N/A 10,2% 5,6% 2019.06.06. 4
Accorde World International Equity Fund I sorozat
HUF 1,203733 2026.06.05. -0,8% 1,1% 5,8% N/A N/A N/A 0,2% 8,7% 2024.03.04. 4
Accorde World International Equity Fund
HUF 1,78117 2026.06.29. 4,7% 1,1% 7,4% 12,8% 9% 6,1% 1,3% 5,8% 2016.04.04. 4
Accorde World International Equity Fund H sorozat
HUF 1,999365 2026.06.29. 14,1% 7,3% 19,4% 19,1% N/A N/A 7,4% 19,4% 2022.07.21. 4
Allianz Domestic Index Tracker Investment Fund
HUF HUF 4,743004 2026.06.29. 14% 24,5% 39,8% 37,6% 21,7% 15,9% 24,4% 9,9% 2010.01.29. 5
Amundi Central European Equity Fund I Sorozat
Egyéb HUF 31,968174 2026.06.29. 6,2% 8,6% 25,1% 29,8% 19,9% 15,9% 8,4% 9,6% 2010.02.03. 4
Amundi Central-European Equity Fund A sorozat
Egyéb HUF 25,825101 2026.06.29. 5,8% 7,9% 23,4% 28,1% 18,4% 14,4% 7,7% 8% 1994.12.24. 4
Amundi Hungarian Index Tracking Equity Fund I sorozat
HUF HUF 15,461473 2026.06.29. 14,8% 25,6% 41,1% 39% 23% 16,8% 25,5% 15% 2012.04.24. 4
Amundi Hungarian Index Tracking Equity Fund
HUF HUF 13,352999 2026.06.29. 14,4% 24,8% 39,3% 37,2% 21,4% 15,3% 24,7% 9,2% 1997.01.23. 4
Amundi Selecta European Equity Fund of Funds I sorozat
EUR HUF 3,843342 2026.06.29. 4,4% 2,2% 5,7% 10,5% 7,6% 8,2% 2,1% 8,2% 2011.01.17. 4
Amundi Selecta European Equity Fund of Funds A sorozat
EUR HUF 3,331998 2026.06.29. 4,1% 1,7% 4,6% 9,4% 6,5% 7,1% 1,6% 4,6% 1999.10.21. 4
Amundi USA Currency Equity Fund of Funds A sorozat
USD HUF 5,781405 2026.06.29. 6% 0,9% 8% 11,9% 10,3% 12,6% 1,5% 6,5% 1998.10.22. 4
Amundi USA Currency Equity Fund of Funds I sorozat
USD HUF 5,826883 2026.06.29. 6,2% 1,4% N/A N/A 8,5% 12,2% 2% 12,8% 2011.01.17. 4
APELSO Megatrends Equity Fund
Egyéb HUF 1,032532 2026.06.29. 3,8% 4,1% 17,4% 10,1% 10,3% 6,2% 4,5% 0,2% 2008.03.20. 5
APELSO Megatrends Equity Fund EUR sorozat
EUR 0,010095 2026.06.29. N/A N/A N/A N/A N/A N/A 0,4% 0,4% 2008.03.19. 5
Artemisz Digital Assets Sub-Fund Open Ended Investment Unit W sorozat
HUF 1,332107 2026.06.29. 14% 6,8% 15% N/A N/A N/A 8% 16,3% 2024.08.05. 6
Artemisz Digital Assets Sub-Fund Open Ended Investment Unit A sorozat
HUF 1,366149 2026.06.29. 14,5% 7% 14,7% N/A N/A N/A 8,3% 13,3% 2023.12.29. 6
Artemisz Digital Assets Sub-Fund Open Ended Investment Unit D sorozat
HUF 1,04148 2026.06.29. N/A N/A N/A N/A N/A N/A 4,1% 4,1% 2026.05.05. 6
Artemisz Digital Assets Sub-Fund Open Ended Investment Unit B sorozat
USD 1,522325 2026.06.29. 24,4% 13,2% 25,8% N/A N/A N/A 14,4% 18,3% 2023.12.29. 6
Artemisz International Stock Exchange Guru Sub-Fund of Funds Open Ended Investment Unit B sorozat
USD 1,425202 2026.06.29. 2,3% 5,3% 32,7% N/A N/A N/A 6,3% 15,2% 2023.12.29. 6
Artemisz International Stock Exchange Guru Sub-Fund of Funds Open Ended Investment Unit W sorozat
HUF 1,334877 2026.06.29. -6,2% -0,1% 26,5% N/A N/A N/A 1,1% 16,4% 2024.08.05. 6
Artemisz International Stock Exchange Guru Sub-Fund of Funds Open Ended Investment Unit A sorozat
HUF 1,326644 2026.06.29. -4,7% -0,2% 25,5% N/A N/A N/A 0,6% 12% 2023.12.29. 6
AXIOM SEP Equity Fund
USD 0,012107 2026.06.29. 7,7% -0,2% 1,7% N/A N/A N/A -0,2% 8,8% 2024.03.22. 5
Compass Equity Derivatives Investment Fund EUR sorozat
EUR 0,009504 2026.06.29. -1,5% -3,2% N/A N/A N/A N/A -2,4% -4,7% 2025.09.17. 4
Compass Equity Derivatives Investment Fund HUF sorozat
HUF 0,979024 2026.06.29. -0,6% -1,1% N/A N/A N/A N/A -0,4% -1,7% 2025.09.17. 4
Compass Equity Derivatives Investment Fund USD sorozat
USD 0,009703 2026.06.29. -0,9% -1,5% N/A N/A N/A N/A -0,7% -2,6% 2025.09.17. 4
EQUILOR Central European Share Investment Fund D sorozat
HUF 1 2026.06.29. N/A N/A N/A N/A N/A N/A N/A N/A 2026.06.29. 6
EQUILOR Central European Share Investment Fund B sorozat
EUR 3,085637 2026.06.29. 16,6% 19% 41,1% 32,1% 18,5% N/A 18,2% 20,7% 2020.07.01. 6
EQUILOR Central European Share Investment Fund C sorozat
USD 1,116754 2026.06.29. 15,3% N/A N/A N/A N/A N/A 11,7% 11,7% 2026.01.06. 6
EQUILOR Central European Share Investment Fund A sorozat
HUF 3,241238 2026.06.29. 6,1% 8,8% 25% 29,7% 18,4% 15,1% 8,7% 11,2% 2015.05.19. 5
EQUILOR Ingatlan Trend Investment Fund Investment Certificate B sorozat
HUF 1,071135 2026.06.29. -0,3% -2,2% -5,1% N/A N/A N/A -2,1% 3,1% 2024.04.02. 4
EQUILOR Ingatlan Trend Investment Fund Investment Certificate A sorozat
HUF 1,145738 2026.06.29. 0% -1,8% -4,4% N/A N/A N/A -1,7% 3,6% 2024.04.02. 4
EQUILOR Noah International Share Investment Fund D sorozat
HUF 1 2026.06.29. N/A N/A N/A N/A N/A N/A N/A N/A 2026.06.29. 6
EQUILOR Noah International Share Investment Fund
HUF 2,826024 2026.06.29. 7,2% 3,3% 10,4% 14,1% 11,1% 11,6% 4,1% 9,9% 2015.05.20. 5
EQUILOR Noah International Share Investment Fund B sorozat
EUR 1,119744 2026.06.29. 18,1% N/A N/A N/A N/A N/A 12% 12% 2026.01.05. 6
EQUILOR Noah International Share Investment Fund C sorozat
USD 1,088623 2026.06.29. 16,5% N/A N/A N/A N/A N/A 8,9% 8,9% 2026.01.05. 6
EQUILOR Telekom Trend Investment Fund Open Ended Investment Certificate B sorozat
HUF 1,524427 2026.06.29. -2,5% 10,3% 8,3% N/A N/A N/A 10,2% 20,7% 2024.04.02. 4
EQUILOR Telekom Trend Investment Fund Open Ended Investment Certificate A sorozat
HUF 1,621802 2026.06.29. -2,4% 10,8% 9,5% N/A N/A N/A 10,6% 21,1% 2024.04.02. 4
EQUILOR Telekom Trend Investment Fund Open Ended Investment Certificate C sorozat
EUR 1,193654 2026.06.29. 7,1% N/A N/A N/A N/A N/A 19,4% 19,4% 2026.01.06. 6
EQUILOR Wealth Office Equity Sub-Fund A sorozat
HUF 1,760361 2026.06.29. 5,4% 4,3% 15,3% 19,5% N/A N/A 4,9% 19,7% 2023.05.02. 6
EQUILOR Wealth Office Equity Sub-Fund C sorozat
USD 1,918122 2026.06.29. 14,5% 10,4% 26,5% 23,1% N/A N/A 10,8% 22,9% 2023.05.02. 6
EQUILOR Wealth Office Equity Sub-Fund B sorozat
EUR 1,8473 2026.06.29. 15,8% 14,1% 30% 21,3% N/A N/A 14,1% 21,7% 2023.05.02. 6
ERSTE DPM Global Equity Fund of Funds
HUF HUF 3,8946 2026.06.29. 12,5% 8,9% 21,6% 18,9% 12,3% 11,1% 9,2% 8,7% 2010.03.22. 6
Erste DPM Megatrend Fund of Funds HUF sorozat
EUR HUF 3,8461 2026.06.29. 13,8% 9,8% 14,4% 13,9% 6,7% 10,4% 10,3% 8,6% 2010.03.22. 6
Erste DPM Megatrend Fund of Funds EUR sorozat
EUR EUR 1,8131 2026.06.29. 24,9% 20% 28,9% 15,7% 6,5% N/A 20% 10,4% 2020.06.23. 6
Erste DPM Megatrend Fund of Funds USD sorozat
USD USD 1,8299 2026.06.29. 23,6% 16,1% 25,5% 17,4% 5,5% N/A 16,5% 10,6% 2020.06.23. 6
Erste Emerging Markets Stock Cost Averaging Fund of Funds
HUF 1,564 2026.06.29. 15,2% 20,5% 36,5% N/A N/A N/A 19,8% 16,5% 2023.07.26. 5
Erste ESG Stock Cost Averaging 7 Fund of Funds
HUF 1,0863 2026.06.29. 7,2% 2,9% 8,3% N/A N/A N/A 3,1% 7% 2025.03.31. 4
Erste ESG Stock Cost Averaging EUR Fund of Funds
EUR 1,3754 2026.06.29. 17,8% 12,7% 24,6% 12,5% 6,5% N/A 12,6% 6,4% 2021.05.07. 6
Erste ESG Stock Cost Averaging Fund of Funds
HUF 1,4871 2026.06.29. 7,1% 3% 10,5% 10,7% 7,8% N/A 3,4% 7,6% 2021.01.21. 6
Erste ESG Stock Cost Averaging USD Fund of Funds
USD 1,3367 2026.06.29. 16,3% 8,6% 20,7% 13,6% 6% N/A 8,9% 5,8% 2021.05.07. 6
Erste Megatrend Cost Averaging Fund of Funds
HUF 1,2998 2026.06.29. 9,1% 4,6% 11,8% 7,9% 4,1% N/A 5,1% 4,8% 2020.11.06. 6
Erste Stock Cost Averaging 4 Fund of Funds
HUF 1,0121 2026.06.29. N/A N/A N/A N/A N/A N/A 1,2% 1,2% 2026.03.30. 4
Erste Stock Hungary Index Tracker Investment Fund D sorozat
HUF HUF 4,0671 2026.06.29. 17,8% 29,6% 45,2% 41,7% 25,6% N/A 29,5% 26,2% 2020.06.23. 4
Erste Stock Hungary Index Tracker Investment Fund A sorozat
HUF HUF 8,1443 2026.06.29. 17,5% 29,1% 44,1% 40,6% 24,7% 18,4% 29% 11% 2006.04.26. 4
Erste Stock World HUF Fund of Funds
HUF HUF 3,6521 2026.06.26. 11% -0,1% 9,4% 12,2% 9,5% 11,1% 0,6% 10,6% 2013.08.07. 6
Eurizon Central European Equity Sub-Fund HUF-A
HUF HUF 6,204505 2026.06.29. 4,5% 6,8% 20,7% 26% 16,6% 13,4% 6,5% 6,7% 1998.05.08. 4
Eurizon Central European Equity Sub-Fund HUF-I
HUF 3,10903 2026.06.29. 5,1% 7,9% 23,2% 28,6% 19% N/A 7,5% 13,8% 2017.09.19. 4
Eurizon Developed Equity Markets Sub-Fund of Funds HUF-I
HUF 2,734726 2026.06.29. 6,6% 4,8% 14,2% 12,3% 10,5% N/A 4,9% 12,2% 2017.09.19. 4
Eurizon Developed Equity Markets Sub-Fund of Funds HUF-A
HUF HUF 3,819587 2026.06.29. 6% 3,8% 11,8% 10% 8,2% 9,5% 3,9% 5,1% 1999.04.30. 5
Eurizon Emerging Markets Sub-Fund of Funds
HUF HUF 1,9955 2026.06.29. 11,2% 18,4% 31,3% 18,9% 7,1% 7,8% 18% 3,8% 2008.03.12. 4
Eurizon European Equity Sub-Fund of Funds HUF-A sorozat
HUF 1,881903 2026.06.29. 1,2% 0,9% 6,7% 13,5% 8,8% N/A 0,7% 7,7% 2017.12.18. 4
Eurizon European Equity Sub-Fund of Funds EUR A sorozat
EUR 0,017403 2026.06.29. 10,4% 9,5% 18,9% 14,5% N/A N/A 9,1% 15,9% 2022.09.26. 4
Eurizon Index Equity Sub-Fund HUF-A
HUF HUF 6,674071 2026.06.29. 13,7% 24,1% 38,8% 36,7% 20,9% 14,8% 24,1% 9,1% 2004.08.31. 5
Eurizon Index Equity Sub-Fund "HUF-BGTP" sorozat
HUF 1,536417 2025.01.17. 14,3% 16,6% 33,5% N/A N/A N/A 7% 34,8% 2023.08.07. 5
Generali Amazonas Latin American Equity V/E Investment Fund
USD HUF 1,360792 2026.06.29. -6,8% 7% 18,5% 8,1% 8,4% 6,2% 7% 2% 2010.10.11. 4
Generali Deluxe Equityt Fund
HUF 1,403707 2026.06.29. 1,9% -10,6% -5,3% -2,7% 1% N/A -10,3% 6,2% 2020.11.02. 3
Generali Emerging Market Equity Fund of Funds A sorozat
USD HUF 2,293015 2026.06.29. 9,7% 13,4% 22,4% 15% 5,6% 7,1% 13,3% 4,7% 2008.07.07. 4
Generali Emerging Market Equity Fund of Funds B sorozat
USD 0,017158 2026.06.29. 19,2% 20% 34,3% 18,4% 4,5% 6,2% 19,7% 3,7% 2008.06.12. 4
Generali Fonix Far Eastern Equity V/E Investment Fund of Funds
USD, HKD HUF 2,381911 2026.06.29. 11,3% 15,6% 27% 15,3% 4,7% 7,4% 15,4% 5,7% 2010.10.11. 4
Generali Gold Central European Equity Fund B sorozat
EUR 0,024601 2026.06.29. 15,2% 16,8% 36,1% 29,9% 17,4% 13,4% 16,1% 8,6% 2011.10.04. 4
Generali Gold Central European Equity Fund A sorozat
EUR, HUF HUF 8,708515 2026.06.29. 4,8% 6,8% 20,7% 27,9% 17,6% 14,6% 6,7% 7,1% 2008.07.16. 4
Generali Golden Lion Screened International Equity Fund B sorozat
EUR EUR 0,029734 2026.06.29. 15,6% 9,7% 18,2% 13% 9,5% 8,2% 9% 7,8% 2011.10.05. 4
Generali Golden Lion Screened International Equity Fund A sorozat
EUR HUF 2,158724 2026.06.29. 5,3% 0,3% 4,9% 11,3% 9,7% 9,5% 0,2% 3% 2000.04.07. 4
Generali Golden Lion Screened International Equity Fund D sorozat
HUF 1,209239 2026.06.29. 5,6% 0,9% 6% N/A N/A N/A 0,7% 10,1% 2024.07.26. 4
Generali IC Asian Equity V/E Investment Fund of Funds
HKD / INR HUF 1,697955 2026.06.29. -7,2% -15,5% -17,1% 0,3% -1,4% 4% -15,5% 3,4% 2010.10.11. 4
Generali Innovation Equity Fund C sorozat
USD 0,015995 2026.06.29. 25,4% 11% 25,4% 21,7% 7,5% N/A 11,7% 9,1% 2021.03.31. 4
Generali Innovation Equity Fund A sorozat
Egyéb HUF 1,6559 2026.06.29. 15,4% 4,9% 14,3% 18,1% 8,6% 9,7% 5,7% 3,3% 2010.10.11. 4
Generali Innovation Equity Fund B sorozat
EUR 0,016467 2026.06.29. 26,8% 14,7% 28,9% 19,9% 8,4% N/A 15% 9,7% 2021.03.31. 4
Generali Innovation Equity Fund D sorozat
HUF 1,325149 2026.06.29. 15,7% 5,4% 15,6% N/A N/A N/A 6,3% 12,9% 2024.03.04. 4
Generali Mustang Screened American Equity Fund A sorozat
USD HUF 5,506154 2026.06.29. 6,6% 2% 9,8% 14,9% 12,4% 13,2% 2,7% 9,4% 2007.07.23. 4
Generali Mustang Screened American Equity Fund B sorozat
USD USD 0,04967 2026.06.29. 15,8% 7,9% 20,5% 18,3% 11,2% 12,3% 8,5% 11,3% 2011.10.05. 4
Gránit Central European Equity Investment Fund
HUF 2,323248 2026.06.29. 5,1% 7,3% 23,1% 29,5% 19,1% N/A 7,2% 10,3% 2017.10.20. 4
Gránit Developed Market Derivatives Equilty Investment Fund
HUF/EUR/USD HUF 2,753163 2026.06.29. 6,6% 0,3% 6,1% 10,9% 9,4% 10,6% 0,7% 10,3% 2016.01.13. 4
Gránit Prospect ESG Equity Investment Fund A sorozat
HUF 1,909123 2026.06.29. 9,2% 0,5% 6,4% 12,6% 9% N/A 0,7% 11,8% 2020.09.11. 4
HOLD 2029 Deep Value Equity Fund F sorozat
EUR 0,0141 2026.06.29. 8,8% 8,5% 22,6% N/A N/A N/A 8,2% 24,5% 2024.12.03. 3
HOLD 2029 Deep Value Equity Fund E sorozat
EUR 0,015285 2026.06.29. 8,8% 10% 27,8% N/A N/A N/A 9,6% 31% 2024.12.03. 3
HOLD 2029 Deep Value Equity Fund C sorozat
EUR 0,027157 2026.06.29. 10% 9,6% 24,1% 20,6% 15,9% N/A 9,3% 16,4% 2019.11.21. 4
HOLD 2029 Deep Value Equity Fund B sorozat
EUR 0,032224 2026.06.29. 8,9% 10,2% 28,1% 24,5% 19,2% N/A 9,8% 19,4% 2019.11.21. 4
HOLD 2029 Deep Value Equity Fund A sorozat
EUR 0,028501 2026.06.29. 10,1% 9,8% 24,8% 21,3% 16,6% N/A 9,6% 17,2% 2019.11.21. 4
HOLD 2029 Deep Value Equity Fund D sorozat
EUR 0,014219 2026.06.29. 8,9% 8,7% 23,1% N/A N/A N/A 8,4% 25,1% 2024.12.03. 3
HOLD CEE Equity Fund
HUF 4,688524 2026.06.29. 6% 10,3% 28,7% 33% 21,7% 17,4% 10,1% 8,7% 2008.01.15. 4
HOLD Equity Fund B sorozat EUR
EUR 2,887039 2026.06.29. 6,1% 8% 20,4% 23,5% 14,8% N/A 7,9% 20,3% 2020.09.28. 3
HOLD Equity Fund A sorozat HUF
HUF 29,500791 2026.06.29. 6,7% 9,6% 24,8% 28,7% 20,6% 15,9% 9,4% 14,3% 2001.03.29. 4
HOLD International Equity Fund of Funds A sorozat
HUF 7,210437 2026.06.29. 3,7% 1,8% 10,1% 14,9% 12,1% 12,4% 2,2% 8,6% 2002.08.01. 3
HOLD International Equity Fund of Funds I sorozat
HUF 2,403632 2026.06.29. 4,1% 1,9% 10,2% 15,1% 12,1% N/A 2,4% 14,5% 2020.05.06. 3
HOLD Yield Searching European Derivatives Share Investment Fund
EUR 16,855238 2026.06.29. 12,3% 7,8% 15,2% 12,5% 9,4% 6% 7,2% 4% 2013.04.30. 5
K&H Asia Open-ended Fund
HUF 3,898931 2026.06.25. 17,4% 25,4% 30,1% 18,3% 7,4% 9,7% 25,2% 7% 2006.06.30. 6
K&H Asia Open-ended Fund I sorozat
HUF 1,292662 2026.06.25. 17,7% 26,2% 31,6% N/A N/A N/A 26% 16,4% 2006.06.30. 6
K&H BUX Indextracking Fund
HUF HUF 15,064112 2026.06.26. 14,9% 27,4% 42,8% 38,3% 21,2% 16,2% 27,3% 10% 1998.01.23. 7
K&H Central European Equity Fund
HUF 5,517685 2026.06.26. 0,8% 4,5% 14,7% 24,9% 15,6% 12,9% 4,4% 7% 1993.12.27. 6
K&H Central European Equity Fund I sorozat
HUF 1,557338 2026.06.26. 1,1% 5,1% 16,1% N/A N/A N/A 5% 21,1% 2024.03.19. 6
K&H Eco Responsible Investment Open Ended Fund of Funds
HUF 2,249299 2026.06.25. 4,5% 8,1% 19,2% 7,5% 5,6% 9% 7,8% 4,4% 2007.08.01. 5
K&H Europe Fund of Funds EUR
EUR 2,495521 2026.06.25. 10,5% 9,5% 21,9% 14,5% 8,2% 7,5% 8,9% 5,7% 2009.11.16. 6
K&H Europe Fund of Funds HUF I sorozat
HUF 1,492032 2026.06.25. 11,3% 11,5% 27,1% N/A N/A N/A 10,9% 19,2% 2024.03.21. 6
K&H Europe Fund of Funds HUF
HUF 3,097267 2026.06.25. 10,4% 10,2% 25% 19,4% 14,4% 11,1% 9,7% 4,3% 1999.09.30. 6
K&H USA Open Ended Fund of Funds HUF sorozat
USD HUF 2,735421 2026.06.25. 12,2% 6,5% 23% 20,2% 12,8% 12,2% 7,7% 4% 2001.02.15. 6
K&H USA Open Ended Fund of Funds USD sorozat
USD USD 2,534804 2026.06.25. 12,4% 6,3% 22% 17,1% 7,2% 10,1% 7,6% 9,7% 2016.06.06. 5
K&H USA Open Ended Fund of Funds I sorozat
USD HUF 1,445479 2026.06.25. 12,7% 7,5% 24,5% N/A N/A N/A 8,7% 17,4% 2024.03.21. 6
MBH Central European Equity Fund I sorozat
HUF 3,343581 2026.06.29. 3,3% 7,6% 22,5% 26% 17,3% N/A 7,1% 13,3% 2015.10.09. 4
MBH Central European Equity Fund CZK sorozat
HUF/PLN/CZK CZK 2,103604 2026.06.29. 12% 16,6% 33,7% 27,4% 14,6% 9,8% 16% 11,7% 2010.12.22. 4
MBH Central European Equity Fund HUF sorozat
HUF/PLN/CZK HUF 10,272648 2026.06.29. 3% 6,9% 21% 24,4% 15,9% 12,3% 6,5% 8,2% 1996.10.24. 4
MBH Central European Equity Fund EUR sorozat
HUF/PLN/CZK EUR 0,028906 2026.06.29. 13,3% 16,7% 36,4% 26,4% 15,7% 11% 15,6% 3,6% 2008.02.19. 4
MBH Developed Market Equity Fund EUR sorozat
EUR 1,136489 2026.06.29. 16,6% 10,4% 20,5% N/A N/A N/A 10% 9,4% 2024.07.12. 4
MBH Developed Market Equity Fund I sorozat
HUF 2,814484 2026.06.29. 6,5% 1,7% 8,1% 13,1% 11,3% N/A 1,7% 9% 2018.06.28. 4
MBH Developed Market Equity Fund HUF sorozat
HUF/EUR/USD HUF 3,598298 2026.06.29. 6,2% 1,1% 6,8% 11,8% 10% 12,4% 1,1% 4,7% 1998.06.03. 4
MBH Developed Market Equity Fund USD sorozat
USD 2,816993 2026.06.29. 15,4% 6,9% 17,2% 15% 8,7% 11,3% 6,8% 9,8% 2015.10.26. 4
MBH Dynamic Europa Equity Fund EUR sorozat
EUR 1,903902 2026.06.29. 12,2% 10,1% 20,2% 14,1% 9,3% N/A 9,5% 9,1% 2019.02.11. 4
MBH Dynamic Europa Equity Fund USD sorozat
HUF/EUR/USD USD 1,872676 2026.06.29. 11,1% 6,7% 17,1% 15,9% 8,4% N/A 6,5% 11,5% 2020.07.26. 4
MBH Dynamic Europa Equity Fund HUF sorozat
HUF/EUR/USD HUF 1,989116 2026.06.29. 2,2% 0,7% 6,7% 12,3% 9,5% N/A 0,7% 12,7% 2020.07.26. 4
MBH Emerging Market Equity Fund I sorozat
HUF 1,959059 2026.06.29. N/A 8% 20,4% 16,1% 6,2% N/A 8% 9,5% 2018.06.28. 4
MBH Emerging Market Equity Fund USD sorozat
USD 1,619452 2026.06.29. 14,2% 12,8% 29,9% 18,3% 3,8% N/A 12,6% 8,1% 2020.07.20. 4
MBH Emerging Market Equity Fund EUR sorozat
EUR 1,332428 2026.06.29. 15,1% 16,3% 33,2% N/A N/A N/A 15,9% 20,6% 2024.08.02. 4
MBH Emerging Market Equity Fund CZK sorozat
Egyéb CZK 1,448366 2026.06.29. 13,7% 16,2% 30,6% 17,2% 3,6% 5,7% 16,2% 18% 2010.12.22. 5
MBH Emerging Market Equity Fund HUF sorozat
Egyéb HUF 1,958023 2026.06.29. 4,6% 6,6% 18,2% 14,5% 4,8% 8,1% 6,7% 4,1% 2010.04.28. 4
MBH ESG Global Equity Fund USD sorozat
USD USD 1,768778 2026.06.29. 22,6% 12,2% 24,5% 15,6% 7,7% N/A 12,6% 10,5% 2020.10.05. 4
MBH ESG Global Equity Fund HUF sorozat
USD HUF 1,793526 2026.06.29. 12,3% 6% 13,3% 11,9% 8,7% N/A 6,7% 10,7% 2020.10.05. 4
MBH ESG Global Equity Fund EUR sorozat
USD EUR 1,825891 2026.06.29. 23,5% 15,6% 27,7% 13,7% 8,6% N/A 15,8% 11,1% 2020.10.05. 4
MBH Global Insurance Equity Fund A sorozat
EUR HUF 1,564648 2026.06.29. 2,7% -3,8% 1,8% 16,6% 9,6% 10,4% -3,6% 1,7% 2000.03.03. 4
MBH USA Equity Fund USD sorozat
USD 1,647865 2026.06.29. 15,6% 6,8% 19,4% 16,7% 10% N/A 7,4% 10,3% 2019.07.26. 4
MBH USA Equity Fund HUF sorozat
HUF 3,860352 2026.06.29. 15,6% 7,2% 20,7% 19,5% 13,1% 11,6% 7,8% 11% 2013.07.17. 4
OTP Asian Equity Fund of Funds B sorozat
EUR 2,241547 2026.06.29. 21,9% 25,4% 40,9% 13,6% 4,3% 3,9% 24,1% 4,6% 2008.04.28. 4
OTP Asian Equity Fund of Funds A sorozat
HUF 3,151508 2026.06.29. 11% 14,7% 25% 11,9% 4,5% 5,1% 14,1% 6,5% 2008.04.28. 4
OTP Central European Equity Fund I sorozat
EUR 3,546882 2026.06.29. 14,7% 18,7% 40,8% 30,8% N/A N/A 18% 31,8% 2022.12.30. 4
OTP Central European Equity Fund B sorozat
HUF 3,032126 2026.06.29. 4,4% 8,2% 23,8% 27,8% N/A N/A 8,1% 26% 2022.12.30. 4
OTP Central European Equity Fund A sorozat
EUR 3,444968 2026.06.29. 14,7% 18,3% 39,5% 29,7% 15,2% 13,2% 17,6% 6,2% 2005.12.21. 4
OTP CETOP Index-Tracking UCITS ETF A sorozat
EUR 19,543483 2026.06.29. 16% 18,9% 42,6% N/A N/A N/A 17,8% 34,6% 2024.03.28. 4
OTP Exchange Traded BUX Indextracker Fund
HUF HUF 5321,335792 2026.06.30. 15,7% 25,7% 42,4% 39,5% 23,4% 17,4% 25,7% 8,8% 2006.12.01. 4
OTP Fundman Equity Fund C sor.
EUR EUR 1,755749 2026.06.29. 17,5% 18,5% 33,7% 18,7% 5,4% 6,3% 17,7% 4,8% 2014.06.06. 4
OTP Fundman Equity Fund A sor.
HUF HUF 2,039548 2026.06.29. 7% 8,4% 18,6% 16,9% 5,6% 7,4% 8,2% 6,1% 2014.06.06. 4
OTP Fundman Equity Fund B sor.
HUF HUF 2,350292 2026.06.29. 7,3% 9% 20% 18,3% 6,8% 8,7% 8,9% 7,3% 2014.06.06. 4
OTP Omega Developed Market Equity Fund of Funds B sorozat
EUR 3,064246 2026.06.29. 17,3% 10,3% 21,4% 11,5% 6,3% 8,8% 10,7% 7,7% 1999.12.16. 4
OTP Omega Developed Market Equity Fund of Funds A sorozat
HUF 3,991406 2026.06.29. 6,8% 0,9% 7,7% 9,8% 6,5% 10% 1,8% 5,3% 1999.12.16. 4
OTP Planeta Emerging Market Equity Fund of Funds B sorozat
EUR 1,884989 2026.06.29. 18,3% 21% 35,9% 17,5% 3,6% 7,1% 20,2% 3,4% 2007.07.02. 4
OTP Planeta Emerging Market Equity Fund of Funds A sorozat
HUF 2,714844 2026.06.29. 7,7% 10,7% 20,6% 15,8% 3,8% 8,3% 10,5% 5,4% 2007.07.03. 4
OTP Quality Derivative Equity Fund B Sorozat
HUF 12,514326 2026.06.29. 6,5% 9,7% 25% 30,4% 18,7% 15,1% 9,5% 8,2% 1997.11.02. 4
OTP Quality Derivative Equity Fund A Sorozat
HUF 10,15662 2026.06.29. 6,2% 9,1% 23,8% 29,2% 17,5% 13,9% 9% 8,4% 1997.11.02. 4
OTP Russian Equity Fund A sorozat
HUF 0,030916 2026.06.29. -5,1% -4,5% -5,4% 2,4% -57,9% -29,8% -4,2% -19,6% 2010.08.06. 7
OTP Russian Equity Fund C sorozat
EUR 0,024345 2026.06.29. 4,2% 4,4% 6,6% 4% -58% -30,6% 4,2% -20,8% 2010.08.06. 7
OTP Russian Equity Fund B sorozat
HUF 0,034855 2026.06.29. -4,9% -4,2% -4,8% 3,1% -57,7% -29,3% -3,9% -20,3% 2010.08.06. 7
OTP Russian Equity Fund IL B sorozat
HUF 0,096714 2026.06.29. -8,1% -5,7% -7,3% 5,5% N/A N/A -4,7% 5% 2023.03.24. 7
OTP Russian Equity Fund IL C sorozat
EUR 0,069122 2026.06.29. 0,9% 3,1% 4,5% 7,1% N/A N/A 3,7% 8% 2023.03.24. 7
OTP Russian Equity Fund IL A sorozat
HUF 0,087777 2026.06.29. -8,1% -5,7% -7,3% 5,5% N/A N/A -4,7% 5% 2023.03.24. 7
OTP Turkish Equity Fund A sorozat
HUF 1,22916 2026.06.29. -3,6% 7,5% 11,1% 13,1% 20,1% 2,7% 6,4% 1,3% 2010.08.06. 6
OTP Turkish Equity Fund B sorozat
HUF 1,385619 2026.06.29. -3,4% 7,9% 11,9% 13,8% 20,8% 3,4% 6,8% 2,5% 2010.08.06. 6
OTP Turkish Equity Fund C sorozat
EUR 0,967924 2026.06.29. 5,9% 17,6% 25,2% 14,7% 19,9% 1,6% 15,8% -0,2% 2010.08.06. 6
OTP USA Equity Fund C sorozat
EUR 1,175526 2026.06.29. 14% 4,7% 16,2% N/A N/A N/A 4,7% 8,4% 2024.07.01. 4
OTP USA Equity Fund B sorozat
USD 1,317915 2026.06.29. 14,7% 7,4% 19,8% N/A N/A N/A 7,7% 14,8% 2024.07.01. 4
OTP USA Equity Fund A sorozat
HUF 1,177995 2026.06.29. 15,5% 6,6% 14,6% N/A N/A N/A 7,1% 8,6% 2024.07.01. 4
OTP West-Europe Equity Fund B sorozat
EUR 1,374461 2026.06.29. 13,4% 11,9% 21,9% 13,3% N/A N/A 11,1% 7,4% 2021.12.31. 4
OTP West-Europe Equity Fund I sorozat
EUR 1,43278 2026.06.29. 13,5% 11,8% 22,1% 14,2% N/A N/A 11% 8,4% 2021.12.31. 4
OTP West-Europe Equity Fund A sorozat
HUF 1,31614 2026.06.29. 3,2% 2,3% 8,1% 11,6% N/A N/A 2,1% 6,4% 2021.12.31. 4
Raiffeisen Central Eastern European Equity Fund Q sorozat
HUF 2,784109 2026.06.30. 0,9% 4,1% 18,8% 27,1% 19,4% N/A 3,9% 16,5% 2019.09.25. 5
Raiffeisen Central Eastern European Equity Fund E sorozat
EUR 1,365915 2026.06.30. 10,4% 13% 31,9% N/A N/A N/A 12,5% 31% 2025.05.13. 5
Raiffeisen Central Eastern European Equity Fund A sorozat
HUF 6,595531 2026.06.30. 0,5% 3,3% 17% 25,3% 17,6% 12,9% 3,1% 6,8% 1997.11.21. 5
Raiffeisen Central Eastern European Equity Fund B sorozat
HUF 6,672847 2026.06.30. 0,5% 3,3% 17% 25,3% 17,6% N/A 3,1% 11,4% 2017.08.21. 5
Raiffeisen Central Eastern European Equity Fund R sorozat
HUF 2,991564 2026.06.30. 0,9% 4,1% 18,8% 27,1% 19,3% N/A 3,9% 13,3% 2017.09.22. 5
Raiffeisen ESG International Equity Fund of Funds A sorozat
HUF 6,316441 2026.06.30. 7,1% 0,8% 4,5% 7,7% 4,8% 7,5% 1% 4,3% 1999.01.19. 4
Raiffeisen ESG International Equity Fund of Funds U sorozat
USD 1,296829 2026.06.30. 16,4% 6,6% 14,7% 11,1% N/A N/A 6,6% 6,7% 2022.02.18. 4
Raiffeisen ESG International Equity Fund of Funds Q sorozat
HUF 1,7376 2026.06.30. 7,5% 1,5% 6,1% 9,4% 6,4% N/A 1,8% 8,5% 2019.09.20. 4
Raiffeisen ESG International Equity Fund of Funds E sorozat
EUR 1,491457 2026.06.30. 17,7% 10,2% 17,8% 9,4% 4,6% N/A 10,2% 4,7% 2018.01.05. 4
Raiffeisen ESG International Equity Fund of Funds B sorozat
HUF 6,313918 2026.06.30. 7,1% 0,8% 4,5% 7,7% 4,8% N/A 1% 6,7% 2010.10.27. 4
Raiffeisen Megatrend ESG Equity Fund of Funds Q sorozat
HUF 1,491856 2026.06.30. 13,7% 10,4% 17,4% 14,1% 6,9% N/A 10,4% 6% 2019.09.12. 4
Raiffeisen Megatrend ESG Equity Fund of Funds U sorozat
USD 1,291093 2026.06.30. 23,4% 16,4% 27,8% 16,6% N/A N/A 16,2% 5,3% 2021.08.23. 4
Raiffeisen Megatrend ESG Equity Fund of Funds B sorozat
HUF 1,984441 2026.06.30. 13,6% 10% 16,6% 13,3% 6,1% N/A 10% 4,2% 2010.10.27. 4
Raiffeisen Megatrend ESG Equity Fund of Funds E sorozat
EUR 1,344025 2026.06.30. 24,7% 20,3% 31,4% 15% N/A N/A 20% 6,2% 2021.08.23. 4
Raiffeisen Megatrend ESG Equity Fund of Funds A sorozat
HUF 1,984284 2026.06.30. 13,6% 10% 16,6% 13,3% 6,1% 3,7% 10% 3,6% 2007.03.30. 4
SIFI Central European Equity Fund A sorozat
HUF 1,554777 2026.06.29. 4,7% 7,7% 21,4% N/A N/A N/A 7,7% 23,2% 2024.05.15. 4
SIFI Hungarian Index Tracking Equity Fund A sorozat
HUF 1,966404 2026.06.29. 15,9% 28% 43,4% N/A N/A N/A 28% 37,2% 2024.05.09. 5
SIFI International Equity Fund of Funds A sorozat
HUF 1,155611 2026.06.29. 5,1% 1,2% 7% N/A N/A N/A 1,5% 7% 2024.05.15. 4
SIFI USA Equity Fund of Funds A sorozat
HUF 1,163513 2026.06.29. 7,6% 0,5% 7,6% N/A N/A N/A 0,8% 7,4% 2024.05.15. 5
VIG American Equity Investment Fund of Funds A sorozat
USD HUF 1,595323 2026.06.29. 6% 0,7% 8,4% 12% 7,5% 4,9% 1,4% 4,6% 2016.03.07. 5
VIG American Equity Investment Fund of Funds UI sorozat
USD 1,343654 2026.06.29. 15,3% 6,8% 19,4% N/A N/A N/A 7,3% 16,6% 2024.07.26. 4
VIG Central European Equity Fund EUR-IP
EUR 2,921088 2026.06.29. 15,3% 18,5% 42% 33,1% N/A N/A 17,7% 34,9% 2022.07.18. 5
VIG Central European Equity Fund HUF-IP
Egyéb HUF 17,712327 2026.06.29. 5% 8,5% 26,2% 31,5% 20,1% 15,2% 8,2% 9,3% 2011.01.04. 4
VIG Central European Equity Fund CZKh-RP
Egyéb CZK 2,716979 2026.06.29. 14,8% 18,1% 41% 31,8% 16,1% N/A 17,4% 10,4% 2016.09.01. 4
VIG Central European Equity Fund HUF-RP
Egyéb HUF 15,225303 2026.06.29. 4,6% 7,6% 23,9% 29,5% 18,4% 14% 7,4% 10,1% 1998.03.16. 4
VIG Central European Equity Fund EUR-RP
Egyéb EUR 11,499789 2026.06.29. 14,8% 17,6% 39,6% 31,5% 18,2% 12,7% 16,9% 4,7% 2007.10.26. 5
VIG Central European Equity Fund HUF-SP
HUF 1,121543 2026.06.29. 5% 8,4% N/A N/A N/A N/A 8,2% 9,1% 2025.12.12. 4
VIG Central European Equity Fund PLN-IP
PLN 2,138535 2026.06.29. 15,4% 20,2% 43,8% 31,7% N/A N/A 19,5% 17,3% 2021.09.14. 4
VIG Central European Equity Fund USD-IP
USD 3,286894 2026.06.29. 14,1% 14,7% 38,2% 35,1% N/A N/A 14,4% 40,7% 2022.07.18. 5
VIG Emerging Market ESG Equity Investment Fund C sorozat
CZK 1,915852 2026.06.29. 28% 29,9% 49,1% 24,2% 8,5% N/A 29,9% 10,9% 2020.06.16. 4
VIG Emerging Market ESG Equity Investment Fund UI sorozat
USD 2,105524 2026.06.29. 29% 31,5% 53,3% 26,8% N/A N/A 31,4% 20,6% 2022.05.18. 4
VIG Emerging Market ESG Equity Investment Fund R sorozat
HUF 2,178153 2026.06.29. 18,8% 24,4% 39,9% 23,2% 9,5% N/A 24,5% 13,2% 2020.06.02. 4
VIG Emerging Market ESG Equity Investment Fund I sorozat
HUF 2,152903 2026.06.29. 18,7% 24,3% 39,7% 23% 9,4% N/A 24,4% 13,7% 2020.05.19. 4
VIG Emerging Market ESG Equity Investment Fund Pi sorozat
PLN 1,932643 2026.06.29. 27,6% 34,8% 55,9% 22,4% 7,6% N/A 34,2% 11,4% 2020.06.09. 4
VIG Emerging Market ESG Equity Investment Fund U sorozat
USD 2,07076 2026.06.29. 28,5% 30,5% 51% 24,9% 6,7% N/A 30,4% 12,7% 2020.05.26. 4
VIG Emerging Market ESG Equity Investment Fund P sorozat
PLN 1,862823 2026.06.29. 30% 36,8% 57% 21,5% 6,6% N/A 36,3% 10,3% 2020.06.16. 4
VIG Emerging Market ESG Equity Investment Fund B sorozat
EUR,USD EUR 2,392567 2026.06.29. 29,9% 34,9% 55,1% 23,1% 7,7% 8,2% 34,3% 3,9% 2007.10.29. 4
VIG Emerging Market ESG Equity Investment Fund A sorozat
EUR,USD HUF 3,377456 2026.06.29. 18,3% 23,3% 37,6% 21,2% 7,9% 9,4% 23,5% 6,6% 2007.05.04. 4
VIG Emerging Market ESG Equity Investment Fund EI sorozat
EUR 1,86637 2026.06.29. 30,4% 35,9% 57,5% 25% N/A N/A 35,3% 17,3% 2022.05.18. 4
VIG European Equity Fund HUF-RP sorozat
HUF 1,526068 2026.06.29. 2,1% 0% 4,7% 9,3% 4,8% 4,3% -0,1% 4,2% 2016.03.07. 4
VIG European Equity Fund CZKh-RP sorozat
CZK 1,026996 2026.06.29. N/A N/A N/A N/A N/A N/A 2,3% 2,3% 2026.05.21. 4
VIG European Equity Fund EUR-IP sorozat
EUR 1,328444 2026.06.29. 12,5% 9,9% 19,1% N/A N/A N/A 9,1% 12,7% 2024.05.02. 4
VIG European Equity Fund EUR-I sorozat
EUR 1,029333 2026.06.29. N/A N/A N/A N/A N/A N/A 2,4% 2,4% 2026.05.21. 4
VIG GreenTrend Equity Fund HUF-R sorozat
HUF 1,057771 2026.06.29. -0,8% 2,8% 12,8% N/A N/A N/A 3,7% 3,1% 2024.08.26. 4
VIG GreenTrend Equity Fund CZKh-R sorozat
CZK 1,250516 2026.06.29. 9,1% 13% N/A N/A N/A N/A 13,4% 25,1% 2025.07.03. 4
VIG GreenTrend Equity Fund USD-I sorozat
USD 1,228863 2026.06.29. 8,2% 9,4% 25,3% N/A N/A N/A 10,2% 11,8% 2024.08.26. 4
VIG GreenTrend Equity Fund USD-R sorozat
USD 1,009366 2026.06.29. N/A N/A N/A N/A N/A N/A -0,8% -0,8% 2026.06.10. 4
VIG GreenTrend Equity Fund EUR-I sorozat
EUR 1,205684 2026.06.29. 9,3% 13,1% 28,7% N/A N/A N/A 13,5% 10,7% 2024.08.26. 4
VIG GreenTrend Equity Fund EUR-R sorozat
EUR 1,023357 2026.06.29. N/A N/A N/A N/A N/A N/A 0,4% 0,4% 2026.06.10. 4
VIG Hungarian Index Tracker Equity Sub-Fund R sorozat
HUF 2,334276 2026.06.29. 15,2% 26% 41,7% 35% N/A N/A 25,9% 20,1% 2021.11.09. 5
VIG Hungarian Index Tracker Equity Sub-Fund B sorozat
HUF 2,210493 2026.06.29. 14,8% 25,2% 39,8% 33,3% N/A N/A 25,1% 18,7% 2021.11.09. 5
VIG Hungarian Index Tracker Equity Sub-Fund EI sorozat
EUR 2,234651 2026.06.29. 26,5% 37,7% 59,5% N/A N/A N/A 36,9% 47,3% 2024.05.03. 5
VIG Hungarian Index Tracker Equity Sub-Fund UI sorozat
USD 2,370445 2026.06.29. 25,1% 33,2% 55,2% N/A N/A N/A 32,9% 50,9% 2024.05.03. 5
VIG InnovationTrend ESG Equity Fund CZKh-R sorozat
CZK 1,441047 2026.06.29. 23,7% 8,5% 18,5% N/A N/A N/A 8,9% 17,9% 2024.05.02. 5
VIG InnovationTrend ESG Equity Fund CZKh-I sorozat
CZK 1,491636 2026.06.29. 24,3% 9,4% 20,4% N/A N/A N/A 9,8% 19,8% 2024.05.02. 5
VIG InnovationTrend ESG Equity Fund USD-R sorozat
USD 1,470319 2026.06.29. 24,2% 8,8% 20,2% N/A N/A N/A 9,3% 19,5% 2024.02.29. 5
VIG InnovationTrend ESG Equity Fund USD-I sorozat
USD 1,521846 2026.06.29. 24,7% 9,7% 22% N/A N/A N/A 10,1% 21,3% 2024.03.11. 5
VIG InnovationTrend ESG Equity Fund EUR-R sorozat
EUR 1,410774 2026.06.29. 25,5% 12,5% 23,5% N/A N/A N/A 12,5% 16,6% 2024.03.11. 5
VIG InnovationTrend ESG Equity Fund EUR-I sorozat
EUR 1,460397 2026.06.29. 26% 13,3% 25,4% N/A N/A N/A 13,4% 18,4% 2024.03.11. 5
VIG InnovationTrend ESG Equity Fund HUF-R sorozat
HUF 1,265623 2026.06.29. 14,3% 2,9% 9,6% N/A N/A N/A 3,5% 11,4% 2024.03.11. 5
VIG InnovationTrend ESG Equity Fund HUF-I sorozat
HUF 1,303917 2026.06.29. 14,7% 3,7% 11,2% N/A N/A N/A 4,2% 12% 2024.02.26. 5
VIG MegaTrend Equity Fund HUF-RP sorozat
Egyéb HUF 2,523795 2026.06.29. 5,7% 0,2% 5,3% 12,2% 5,6% 7,7% 0,9% 6,1% 2008.09.10. 4
VIG MegaTrend Equity Fund HUF-IP sorozat
HUF 1,969053 2026.06.29. 6% 0,8% 6,6% 13,5% 6,8% N/A 1,5% 11,8% 2020.05.19. 4
VIG MegaTrend Equity Fund USD-IP sorozat
USD 1,694251 2026.06.29. 15,2% 6,6% 16,9% 16,9% N/A N/A 7,2% 13,6% 2022.05.05. 4
VIG MegaTrend Equity Fund EUR-RP sorozat
Egyéb EUR 0,017005 2026.06.29. 16,1% 9,5% 18,7% 13,9% 5,4% 6,5% 9,7% 2,8% 2007.07.09. 4
VIG MegaTrend Equity Fund EUR-IP sorozat
EUR 0,015193 2026.06.29. 16,4% 10,3% 20,2% 15,3% N/A N/A 10,5% 11,5% 2022.05.05. 4
VIG MegaTrend Equity Fund PLN-IP sorozat
PLN 1,778971 2026.06.29. 16,5% 11,8% 21,6% 13,8% 5,6% N/A 12% 10% 2020.06.09. 4
VIG MegaTrend Equity Fund PLN-RP sorozat
PLN 1,690548 2026.06.29. 16,1% 11,1% 20,2% 12,4% 4,4% N/A 11,4% 8,8% 2020.06.16. 4
VIG MegaTrend Equity Fund CZKh-RP sorozat
CZK 1,659811 2026.06.29. 14,4% 5,7% 13,9% 14,6% N/A N/A 6,2% 15,4% 2022.09.13. 4
VIG MegaTrend Equity Fund USD-RP sorozat
USD 1,900541 2026.06.29. 14,8% 6% 15,5% 15,5% 4,5% N/A 6,6% 11% 2020.05.19. 4
VIG MegaTrend Equity Fund HUF-SP sorozat
HUF 1,970329 2026.06.29. 6,1% 0,9% 6,9% 13,8% 7,1% N/A 1,6% 11,5% 2020.06.02. 4
VIG Opportunity Developed Market Equity Fund HUF-RP sorozat
Egyéb HUF 3,53939 2026.06.29. 5,3% 1,4% 8,5% 13,2% 10,4% 11% 1,7% 4,8% 1999.04.21. 4
VIG Opportunity Developed Market Equity Fund USD-RP sorozat
USD 1,160231 2026.06.29. 14,4% 7,2% N/A N/A N/A N/A 7,5% 14,7% 2025.08.11. 4
VIG Opportunity Developed Market Equity Fund EUR-RP sorozat
Egyéb EUR 2,506053 2026.06.29. 15,6% 10,8% 22,3% 15% 10,2% 9,8% 10,7% 4,9% 2007.10.26. 4
VIG Opportunity Developed Market Equity Fund HUF-IP sorozat
HUF 4,178484 2026.06.29. 5,6% 2% 9,9% 14,6% 11,6% 12,2% 2,4% 11,9% 2013.08.16. 4
VIG Opportunity Developed Market Equity Fund CZKh-RP sorozat
CZK 1,154374 2026.06.29. 16,7% 11,5% N/A N/A N/A N/A 12% 15,1% 2025.08.11. 4
VIG Poland Large Cap Equity Fund PLN-IP sorozat
PLN 2,538312 2026.06.29. 12,8% 15% 30,7% 25% 13,2% 9,5% 14,3% 6,6% 2011.11.18. 5
VIG Poland Large Cap Equity Fund HUF-RP sorozat
HUF 2,650005 2026.06.29. 2,2% 2,9% 12,9% 22,9% 13% 10% 2,8% 7% 2012.01.03. 5
VIG Poland Large Cap Equity Fund PLN-RP sorozat
PLN 1,694416 2026.06.29. 12,3% 14,1% 28,8% 23,2% 11,6% N/A 13,5% 8,7% 2019.01.22. 5
VIG Russia Equity Investment Fund PI sorozat
PLN 0,07295 2026.06.29. 0% 0% 0% 0% -45,5% -22,2% 0% -18,9% 2013.12.30. 0
VIG Russia Equity Investment Fund PIL sorozat
PLN 0,101006 2026.06.29. -5,7% -2% 1% -12,2% N/A N/A 0,3% -9,8% 2023.03.23. 0
VIG Russia Equity Investment Fund AIL sorozat
HUF 0,238016 2026.06.29. -14,2% -11,7% -11,5% -12,4% N/A N/A -9,1% -9,7% 2023.03.23. 0
VIG Russia Equity Investment Fund PIIL sorozat
PLN 0,095349 2026.06.29. -5,7% -2% 1% -12,2% N/A N/A 0,3% -9,8% 2023.03.23. 0
VIG Russia Equity Investment Fund P sorozat
PLN 0,083191 2026.06.29. 6,5% 7,7% 11,2% 2,7% -44,8% -21,2% 7,4% -16,2% 2012.06.18. 0
VIG Russia Equity Investment Fund
USD HUF 0,196067 2026.06.29. -3,1% -2,9% -2,6% 2,5% -44,1% -20,1% -2,7% -8,9% 2008.12.04. 0
VIG Russia Equity Investment Fund I sorozat
USD HUF 0,198986 2026.06.29. 0% 0% 0% 0% -45,1% -20,5% 0% -14,4% 2010.12.10. 0
VIG Russia Equity Investment Fund IIL sorozat
HUF 0,266746 2026.06.29. -14,2% -11,7% -11,5% -12,4% N/A N/A -9,1% -9,7% 2023.03.23. 0
VIG SocialTrend ESG Equity Fund CZKh-R sorozat
CZK 1,116916 2026.06.29. 9% 0,3% 6,8% N/A N/A N/A 0,6% 5,4% 2024.05.02. 4
VIG SocialTrend ESG Equity Fund HUF-I sorozat
HUF 1,004654 2026.06.29. 0,8% -4,6% -0,2% N/A N/A N/A -4,1% 0,2% 2024.02.29. 4
VIG SocialTrend ESG Equity Fund EUR-R sorozat
EUR 1,093622 2026.06.29. 10,3% 3,6% 10,9% N/A N/A N/A 3,5% 4,1% 2024.03.11. 4
VIG SocialTrend ESG Equity Fund EUR-I sorozat
EUR 1,131936 2026.06.29. 10,7% 4,3% 12,6% N/A N/A N/A 4,3% 5,7% 2024.03.11. 4
VIG SocialTrend ESG Equity Fund USD-R sorozat
USD 1,139687 2026.06.29. 9,1% 0,2% 7,9% N/A N/A N/A 0,5% 6,7% 2024.02.26. 4
VIG SocialTrend ESG Equity Fund CZKh-I sorozat
CZK 1,154261 2026.06.29. 9,5% 1,1% 8,5% N/A N/A N/A 1,4% 7% 2024.05.02. 4
VIG SocialTrend ESG Equity Fund USD-I sorozat
USD 1,179637 2026.06.29. 9,6% 1% 9,5% N/A N/A N/A 1,3% 8,3% 2024.03.11. 4
VIG SocialTrend ESG Equity Fund HUF-R sorozat
HUF 0,980988 2026.06.29. 0,4% -5,3% -1,7% N/A N/A N/A -4,8% -0,5% 2024.03.11. 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
Property funds
APELSO Everest Hedge Fund Fund of Funds USD sorozat
USD 0,939429 2026.06.26. N/A N/A N/A N/A N/A N/A -5,8% -6,1% 2025.10.10. 4
APELSO Private Markets Selection Fund of Funds EUR sorozat
EUR 1,018425 2026.06.26. 2,7% N/A N/A N/A N/A N/A 2,4% 2,4% 2025.09.26. 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 Artificial Intelligence Capital Protected Derivative Sub-Fund
HUF 1,2145 2026.06.29. 7,4% 0,6% 5,8% N/A N/A N/A 0,5% 9,3% 2024.04.22. 2
Eurizon Dollar Start Short Bond Sub- Fund
USD USD 0,01233 2026.07.01. 0,7% 1,3% 2,9% 3,6% 2,7% N/A 1,3% 2,1% 2016.08.05. 2
Eurizon Electronics Capital Protected Derivative Sub-Fund
HUF 1,2166 2026.06.29. 5,5% 7,2% 15% N/A N/A N/A 7,2% 10,2% 2024.06.24. 2
Eurizon Euro Start Capital Guaranteed Sub- Fund
EUR EUR 0,013545 2026.07.01. 0,4% 0,8% 1,5% 2,3% 1,7% 1% 0,8% 1,5% 2005.09.26. 1
Eurizon HU Airlines Capital Protected Derivative Sub-Fund HUF sorozat
HUF 1,1208 2026.06.29. 12,8% 5,4% 11,1% N/A N/A N/A 5,4% 10,2% 2025.04.28. 2
Eurizon HU Artificial Intelligence 2 Capital Protected Derivative Sub-Fund HUF sorozat
HUF 1,0102 2026.06.29. 5,7% -2,2% N/A N/A N/A N/A -2,3% 1% 2025.07.24. 2
Eurizon HU Banking Sector 2 Capital Protected Derivative Sub-Fund HUF sorozat
HUF 1,2126 2026.06.29. 8,9% 5,6% 16,4% N/A N/A N/A 5,5% 14,8% 2025.02.03. 3
Eurizon HU European Construction & Materials Capital Protected Derivative Sub-Fund
HUF 1,0538 2026.06.29. 10,9% 4,9% N/A N/A N/A N/A 4,9% 5,4% 2025.11.26. 2
Eurizon HU Euro Trio Capital Protected Derivative Sub-Fund
EUR 0,010005 2026.06.29. 2% 0,1% 1,3% N/A N/A N/A 0,2% 0% 2024.02.05. 2
Eurizon HU Global Equity Capital Protected Derivative Sub-Fund
HUF 1,272 2026.06.29. 4,2% 7,5% 16,2% N/A N/A N/A 7,3% 10,6% 2024.02.05. 2
Eurizon HU Real Estate Sector Capital Protected Derivative Sub-Fund
HUF 1,034 2026.06.29. 5,9% 3,4% 1% N/A N/A N/A 3,1% 2% 2024.10.31. 2
Eurizon HU ROE Capital Protected Derivative Sub-Fund
HUF 1,1248 2026.06.29. 16,4% 11,1% N/A N/A N/A N/A 11,1% 12,5% 2025.10.13. 2
Eurizon HU Telecommunications Capital Protected Derivative Sub-Fund
HUF 1,34 2026.06.29. 1,6% 2,7% 6% N/A N/A N/A 2,6% 10,9% 2023.09.04. 2
Eurizon Start Capital Protected Sub-Fund
HUF HUF 2,349245 2026.07.01. 1,3% 2,6% 5,2% 6,1% 6% 3,1% 2,6% 4,1% 2005.02.24. 1
K&H Starting Responsible Investment Capital Guaranteed Open Ended Investment Fund
HUF 1,035281 2026.06.26. 1,3% 2,3% N/A N/A N/A N/A 2,2% 3% 2025.10.27. 4
MBH Crypto Sector Companies Capital Protected Closed-End Derivative Fund HUF sorozat
HUF 9787,534751 2026.06.29. N/A N/A N/A N/A N/A N/A -2,3% -2,3% 2026.03.31. 3
OTP AI Infrastructure Capital Protected Derivative Closed-End Fund A sorozat
HUF 12096,22522 2026.06.29. 7,4% 6,6% 11,1% N/A N/A N/A 6,6% 16,3% 2025.03.25. 3
OTP AI Innovation Capital Protected Derivative Closed-End Fund A sorozat
HUF 10344,852228 2026.06.29. 8,6% 3,6% N/A N/A N/A N/A 3,8% 3,4% 2025.11.08. 3
OTP AI Innovation II Capital Protected Derivative Closed-End Fund A sorozat
HUF 10373,154714 2026.06.29. N/A N/A N/A N/A N/A N/A 3,7% 3,7% 2026.04.28. 3
OTP Cyber Security Capital Protected Derivative Closed-End Fund A sorozat
HUF 10250,934031 2026.06.29. 4% 2,8% 2,1% N/A N/A N/A 2,8% 2,2% 2025.04.28. 3
OTP Energy of the Future Capital Protected Derivative Closed-End Fund A sorozat
HUF 10254,032236 2026.06.29. 5,1% N/A N/A N/A N/A N/A 2,5% 2,5% 2026.01.12. 3
OTP Megatrend Return Protected Closed-End Fund
HUF 12110,745696 2026.06.29. 1,2% 2,6% 5,4% 6,9% N/A N/A 2,6% 5,9% 2023.02.23. 3
OTP Ökotrend Return Protected Closed-End Fund
HUF 12041,397379 2026.06.29. 6,5% 8,9% 16,4% N/A N/A N/A 9,2% 7,3% 2023.11.14. 2
VIG Ozone Annual Capital Guaranteed Investment Fund I sorozat
HUF 1,332504 2026.06.29. 4,2% 3% 6% 7,1% N/A N/A 3,1% 8,4% 2023.01.02. 2
VIG Ozone Annual Capital Guaranteed Investment Fund A sorozat
HUF HUF 2,236602 2026.06.29. 3,9% 2,5% 4,9% 6,1% 6% 3,3% 2,6% 4,3% 2007.03.20. 2
VIG Rise of the Robots Yield Protected Closed-ended Investment Fund A sorozat
HUF 1,113591 2026.06.29. 2,3% 2,9% 5,5% N/A N/A N/A 2,8% 3,7% 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 Absolute Return Fund A sorozat
HUF 2,36491 2026.06.29. 6,3% 8% 13,6% 18,4% 16,7% 9,3% 7,9% 8,7% 2016.02.16. 3
Accorde Abacus Absolute Return Fund B sorozat
EUR 1,200315 2026.06.29. 5,8% 6,5% 9,9% N/A N/A N/A 6,5% 12,6% 2024.12.13. 3
Accorde Abacus Absolute Return Fund C sorozat
USD 1,621255 2026.06.29. 6% 7,3% 11,9% 15,6% N/A N/A 7,2% 14,7% 2022.11.28. 3
Accorde Bond Absolute Return Bond Fund
HUF 1,592235 2026.06.29. 9,1% 7,8% 13,4% 11,3% N/A N/A 7,8% 11,8% 2022.05.02. 3
Accorde Eclecticism Fund of Funds C sorozat
USD 1,701874 2026.06.29. 5,4% 6% 10,3% 11,1% 7,5% 5,8% 6% 5,4% 2016.03.02. 3
Accorde Eclecticism Fund of Funds B sorozat
EUR 1,414829 2026.06.29. 4,8% 5% 8% 9% 5,6% 3,7% 5% 3,4% 2016.03.02. 3
Accorde Eclecticism Fund of Funds A sorozat
HUF 2,003845 2026.06.29. 5,9% 7,2% 12,7% 14,2% 12,1% 7,3% 7,2% 7% 2016.03.02. 3
Accorde Eurobond Fund
EUR 1,215803 2026.06.29. 3,9% 2,6% 6,2% 6,6% N/A N/A 2,6% 6,4% 2023.05.08. 3
Accorde Prism Absolute Return Fund B sorozat
EUR 1,47221 2026.06.29. 5,7% 5,4% 6,9% 9,6% 6,3% N/A 5,5% 5,2% 2018.11.29. 2
Accorde Prism Absolute Return Fund A sorozat
HUF 2,085307 2026.06.29. 6,6% 7,5% 11,2% 14,3% 12,1% 7,9% 7,5% 7,3% 2016.02.16. 2
Accorde Prism Absolute Return Fund I sorozat
HUF 2,028561 2026.06.29. 6,9% 8% 12,5% 15,1% 13,1% N/A 8,1% 12,5% 2020.07.01. 2
Accorde Sharp Total Return Sub-Fund I sorozat
HUF 1,922678 2026.06.29. 3% 6,6% 14,7% 15,1% 12% N/A 6,6% 11,5% 2020.07.01. 3
Accorde Sharp Total Return Sub-Fund B sorozat
EUR 1,404023 2026.06.29. 2,1% 4,5% 11% 10,5% 5,6% N/A 4,4% 5,8% 2020.07.01. 3
Accorde Sharp Total Return Sub-Fund C sorozat
USD 1,006069 2026.06.29. N/A N/A N/A N/A N/A N/A 1,1% 1,1% 2026.04.23. 3
Accorde Sharp Total Return Sub-Fund A sorozat
HUF 1,828814 2026.06.29. 2,9% 6,2% 14,4% 14,5% 11,2% N/A 6,1% 6,3% 2016.08.08. 3
ADÜTON Absolute Return Derivative Investment Fund D sorozat EUR
EUR 1,203946 2026.06.29. 6,6% 2,9% 5,6% N/A N/A N/A 3,1% 7,9% 2024.01.22. 2
ADÜTON Absolute Return Derivative Investment Fund B sorozat HUF
HUF 1,310145 2026.06.29. 7,3% 4,5% 9,5% N/A N/A N/A 4,7% 11,7% 2024.01.22. 2
ADÜTON Absolute Return Derivative Investment Fund C sorozat EUR
EUR 1,241912 2026.06.29. 7,3% 3,7% 6,8% N/A N/A N/A 4% 9,3% 2024.01.22. 2
ADÜTON Absolute Return Derivative Investment Fund A sorozat HUF
HUF 2,696539 2026.06.29. 7,5% 4,9% 10,2% 13,6% 14,5% 8,8% 5,1% 9,7% 2015.10.14. 3
ALLEGRO Total Return Derivative Sub-Fund HUF Sorozat
HUF 1,129005 2026.06.29. 2,3% 4% 13,8% N/A N/A N/A 3,7% 6,5% 2024.04.09. 2
ALLEGRO Total Return Derivative Sub-Fund EUR C Sorozat
EUR 0,010388 2026.06.29. 0,5% 1,3% 10% N/A N/A N/A 1% 2,1% 2024.04.09. 2
ALLEGRO Total Return Derivative Sub-Fund EUR Sorozat
EUR 0,006047 2024.09.30. 1,5% -3% -11,8% -8,9% -8,2% N/A -7,4% -7,7% 2018.06.15. 2
ALLEGRO Total Return Derivative Sub-Fund USD Sorozat
USD 0,010884 2026.06.29. 1,1% 2,2% 12,3% N/A N/A N/A 1,9% 3,9% 2024.04.09. 2
Amundi Explorer Absolute Return Fund A sorozat
HUF 2,193546 2026.06.29. -1,3% 2,6% 8,2% 9% 9,4% 5,6% 3% 5,4% 2015.09.30. 3
Amundi Explorer Absolute Return Fund I sorozat
HUF 2,423628 2026.06.29. -1% 3,4% 9,5% 10,4% 10,8% 6,6% 3,7% 6,5% 2015.09.30. 3
Amundi Regatta Plus Total Return Fund C sorozat
HUF 1,871915 2026.06.29. 4,2% 9,6% 14,8% 12,1% 8% N/A 9,5% 4,9% 2012.06.21. 3
Amundi Regatta Plus Total Return Fund A sorozat
Egyéb HUF 1,846543 2026.06.29. 4,4% 9,8% 15% 12,1% 7,8% 4,7% 9,7% 4,5% 2012.06.21. 3
APELSO ECHO Total Return Fund A sorozat
Egyéb HUF 1,559009 2026.06.29. 1,5% 3,2% 11,8% 6% 7,8% 4,9% 3,4% 2,9% 2010.09.17. 5
APELSO ECHO Total Return Fund EUR sorozat
Egyéb EUR 0,009642 2026.06.29. 8,9% 10% 22,9% 6,6% 3,7% 2,1% 9,7% -0,3% 2014.02.17. 5
Aurica Total Return Derivatives Investment Fund HUF sorozat
HUF 1,040425 2026.06.29. 5,6% 6,2% 12,8% N/A N/A N/A 6,2% 2,3% 2024.10.01. 3
Aurica Total Return Derivatives Investment Fund EUR sorozat
EUR 0,010147 2026.06.29. 6,9% 6,5% 12% N/A N/A N/A 6,4% 1,3% 2024.10.01. 3
Aurica Total Return Derivatives Investment Fund USD sorozat
USD 0,009809 2026.06.29. 5,3% 5,4% 10,8% N/A N/A N/A 5,5% 0,5% 2024.10.01. 3
Axiom Aplus Total Return Derivatives Fund
HUF 0,634794 2026.06.29. 3,1% 19,2% 9,1% 14,4% 9,5% N/A 18,2% -5,6% 2018.07.13. 7
AXIOM Global EUR Total Return Derivative Fund
EUR 0,010511 2026.06.29. 6,4% 5% N/A N/A N/A N/A 4,7% 5,1% 2025.11.25. 6
Convexity Absolute Return Derivative Investment Fund C sorozat USD
USD 1,043952 2026.06.29. 6% 1,1% -1% 5,6% N/A N/A 1,3% 0,9% 2021.08.16. 3
Convexity Absolute Return Derivative Investment Fund D sorozat HUF
HUF 1,323683 2026.06.29. 8,5% 3,9% 1,6% 9,9% N/A N/A 4,1% 6,1% 2021.08.16. 3
Convexity Absolute Return Derivative Investment Fund B sorozat EUR
EUR 0,946454 2026.06.29. 7,4% 1,8% -3,1% 4,2% N/A N/A 2,2% -1,1% 2021.08.16. 3
Convexity Absolute Return Derivative Investment Fund A sorozat HUF
HUF 1,274314 2026.06.29. 8% 3,4% 2,3% 9,1% N/A N/A 3,6% 5,2% 2021.08.16. 3
Creditum Absolute Return Derivative Investment Fund A sorozat HUF
HUF 1,376826 2026.06.29. -0,8% -1,1% 3,8% N/A N/A N/A -1% 11,3% 2023.07.03. 2
Creditum Absolute Return Derivative Investment Fund C sorozat USD
USD 1,264682 2026.06.29. -2% -2,7% 1,8% N/A N/A N/A -2,6% 8,2% 2023.07.03. 2
Creditum Absolute Return Derivative Investment Fund B sorozat EUR
EUR 1,224338 2026.06.29. -2,1% -2,9% 0,6% N/A N/A N/A -2,8% 7% 2023.07.03. 2
DIVERZ NIMBUS Total Return Derivatives Sub-Fund EUR sorozat
EUR 0,010586 2026.06.29. 2% 2,3% 5,4% N/A N/A N/A 2,2% 3,4% 2024.10.22. 3
DIVERZ NIMBUS Total Return Derivatives Sub-Fund HUF sorozat
HUF 1,045899 2026.06.29. 3,3% 3,6% N/A N/A N/A N/A 3,5% 4,9% 2025.10.28. 3
DIVERZ SAPIENS Total Return Derivatives Sub-Fund HUF sorozat
HUF 1,064924 2026.06.29. 2% 3,6% 6% N/A N/A N/A 3,6% 3,8% 2024.10.22. 3
DIVERZ SAPIENS Total Return Derivatives Sub-Fund EUR sorozat
EUR 0,010404 2026.06.29. 1,5% 2,4% 3,8% N/A N/A N/A 2,4% 2,4% 2024.10.22. 3
DIVERZ SAPIENS Total Return Derivatives Sub-Fund USD sorozat
USD 0,010122 2026.06.29. 0,3% 0,5% 2,9% N/A N/A N/A 0,6% 0,7% 2024.10.22. 3
DIVERZ SPECIFIC Total Return Derivatives Sub-Fund EUR sorozat
EUR 0,01023 2026.06.29. -0,3% -1,2% -0,4% N/A N/A N/A -1,1% 1,4% 2024.10.22. 3
DIVERZ SPECIFIC Total Return Derivatives Sub-Fund HUF sorozat
HUF 1,072539 2026.06.29. 2,3% 3,4% 5,1% N/A N/A N/A 3,5% 4,3% 2024.10.22. 3
Equilor Fregatt Derivatives Investment Fund
HUF 1,697958 2026.06.29. 6,3% 6,1% 9,2% 9,8% 7% 3,5% 6,1% 4% 2012.12.04. 4
EQUILOR Oak Total Return Derivative Investment Fund
HUF 1,219882 2026.06.29. 6,4% 7,7% 11,4% N/A N/A N/A 7,7% 9,9% 2024.05.22. 3
EQUILOR Optimus Investment Fund of Funds B sorozat
EUR 1,415799 2026.06.29. 14,1% 14% 20,7% 8,9% 5,4% N/A 13,6% 6% 2020.07.01. 3
EQUILOR Optimus Investment Fund of Funds C sorozat
USD 1,379242 2026.06.29. 11,8% 9,3% 13% 9% 3,7% N/A 9,2% 5,5% 2020.07.01. 3
EQUILOR Optimus Investment Fund of Funds A sorozat
HUF 1,515853 2026.06.29. 4% 4,4% 7,2% 7,1% 5,5% 4,3% 4,6% 4% 2015.11.27. 3
EQUILOR Private Wealth Management Derivative Investment Fund
HUF HUF 1,631572 2026.06.29. 3,7% 4,3% 7,6% 8,9% 7,5% 4,4% 4,3% 3,7% 2012.11.26. 4
Erste DPM Open-ended Alternative Fund of Funds
HUF HUF 1,9262 2026.06.29. 7,8% 7,8% 14,6% 12,2% 8,9% 5% 7,7% 3,5% 2007.04.17. 4
Erste Local Strategy Absolute Return Fund
HUF HUF 4,8455 2026.06.29. 13,7% 14,3% 19,2% 34,2% 22% 10,8% 14,3% 8,6% 2007.04.17. 4
Eurizon Euro Talents Total Return Sub-Fund of Funds
EUR 0,011288 2026.06.29. 7,1% 3,9% 6,8% 6,3% 2% N/A 3,8% 1,3% 2017.05.11. 2
Eurizon Talentum Total Return Sub-Fund of Funds
HUF 1,5479 2026.06.29. 8% 5,6% 10,7% 11,3% 7,8% N/A 5,5% 4,7% 2017.01.26. 2
Forestay Real Estate Market Absolute Return Invstment Fund HUF sorozat
HUF 1,158152 2026.06.29. 0% 2,7% 14,1% N/A N/A N/A 2,8% 13,8% 2025.04.01. 3
Forestay Real Estate Market Absolute Return Invstment Fund EUR sorozat
EUR 1,113671 2026.06.29. -0,1% 1,6% 10,7% N/A N/A N/A 1,8% 10,6% 2025.04.01. 3
Generali Selection Total Return Fund B sorozat
USD HUF 2,123975 2026.06.29. 4,9% 8,6% 14,5% 14,1% 10,9% 7,7% 8,5% 7,1% 2008.07.03. 3
Generali Selection Total Return Fund A sorozat
Egyéb HUF 2,610823 2026.06.29. 4,8% 8,3% 13,5% 13,1% 10,1% 6,8% 8,2% 5,5% 2008.07.07. 3
Generali Spirit Abszolute Derivative Fund B sorozat
Egyéb HUF 1,926556 2026.06.29. 7,4% 7,6% 12,3% 14,9% 11,6% N/A 7,6% 8% 2008.07.07. 3
Generali Spirit Abszolute Derivative Fund A sorozat
Egyéb HUF 2,396003 2026.06.29. 7,3% 7,2% 11,9% 14,5% 10,9% 6,8% 7,3% 5% 2008.07.07. 3
Generali Titanium Total Return Fund of Funds D sorozat
HUF 1,016192 2026.06.29. 3,6% N/A N/A N/A N/A N/A 1,9% 1,9% 2026.01.19. 3
Generali Titanium Total Return Fund of Funds E sorozat
EUR 0,010673 2026.06.29. 9,7% N/A N/A N/A N/A N/A 7% 7% 2026.01.19. 3
Generali Titanium Total Return Fund of Funds F sorozat
USD 0,010755 2026.06.29. 11,4% N/A N/A N/A N/A N/A 7,7% 7,7% 2026.01.19. 3
Generali Titanium Total Return Fund of Funds A sorozat
Egyéb HUF 2,604272 2026.06.29. 3,5% 3,5% 8,5% 12,6% 10,2% 6,3% 3,6% 5,5% 2008.07.07. 3
Generali Triumph Total Return Derivatives Fund C sorozat
USD USD 0,013775 2026.06.29. 5,3% 6,1% 9,9% 6,8% 4,8% N/A 6,1% 4% 2018.04.13. 3
Generali Triumph Total Return Derivatives Fund A sorozat
HUF 1,633521 2026.06.29. 5,8% 6,3% 10,1% 11% 8,5% N/A 6,3% 6,2% 2018.04.13. 3
Generali Triumph Total Return Derivatives Fund B sorozat
EUR EUR 0,013456 2026.06.29. 5,2% 4,7% 7,2% 5,7% 3,2% 2,7% 4,7% 2,7% 2015.06.23. 3
Gránit Eurointerest Total Return Derivatives Fund I sorozat
EUR 1,079961 2026.06.29. 3,6% 2,4% 6,1% N/A N/A N/A 2,3% 5,2% 2024.10.21. 3
Gránit Eurointerest Total Return Derivatives Fund A sorozat
EUR 1,073743 2026.06.29. 3,3% 2% 5,6% N/A N/A N/A 1,9% 4,8% 2024.10.21. 3
Gránit EuroPlus Total Return Investment Fund A sorozat
EUR 1,048801 2026.06.29. 0,7% 0,7% 1,3% N/A N/A N/A 0,6% 2% 2024.01.11. 1
Gránit EuroPlus Total Return Investment Fund I sorozat
EUR 1,062095 2026.06.29. 0,8% 0,9% 1,9% N/A N/A N/A 0,9% 2,5% 2024.01.11. 1
Gránit InterestPlus Total Return Investment Fund A sorozat
HUF/EUR/USD HUF 1,548385 2026.06.29. 1,7% 2,8% 5,8% 6,9% 6,6% 4,2% 2,7% 4,1% 2015.08.10. 1
Gránit InterestPlus Total Return Investment Fund I sorozat
HUF/EUR/USD HUF 2,222024 2026.06.29. 1,9% 3% 6,3% 7,4% 7,2% 4,9% 3% 5,9% 2012.06.22. 1
Gránit Synthesis Total Return Investment Fund
HUF 1,436031 2026.06.29. 1,6% 3% 5,6% 6,5% 5,9% N/A 3% 6% 2020.04.06. 2
Gránit Total Return Derivatives Fund
HUF/EUR/USD HUF 2,027475 2026.06.29. 3,4% 2,6% 6,9% 7,3% 6% 4,1% 2,7% 4,2% 2009.07.13. 2
Gránit WM-1 Total Return Derivatives Subfund I sorozat
HUF/EUR/USD HUF 1,027276 2026.06.29. 3,5% N/A N/A N/A N/A N/A 2,8% 2,8% 2026.03.18. 2
Gránit WM-1 Total Return Derivatives Subfund A sorozat
HUF/EUR/USD HUF 1,815297 2026.06.29. 2,9% 2,9% 6,5% 8,4% 8,6% 5,5% 2,8% 5,1% 2014.07.14. 2
Gránit WM-2 Total Return Derivatives Subfund A sorozat
HUF/EUR/USD HUF 2,037158 2026.06.29. 6,5% 6,7% 11,7% 11,2% 10,1% 6,4% 6,6% 6,1% 2014.07.14. 2
Gránit WM-2 Total Return Derivatives Subfund I sorozat
HUF/EUR/USD HUF 1,061735 2026.06.29. 7,8% N/A N/A N/A N/A N/A 6,3% 6,3% 2026.03.18. 2
Gránit WM-3 Total Return Derivatives Subfund I sorozat
HUF/EUR/USD HUF 1,008942 2026.06.29. 3,6% N/A N/A N/A N/A N/A 1,3% 1,3% 2026.03.18. 3
Gránit WM-3 Total Return Derivatives Subfund A sorozat
HUF/EUR/USD HUF 2,205335 2026.06.29. 3,8% 1,9% 7,1% 10,5% 8,2% 7,4% 1,9% 6,8% 2014.07.14. 3
Gránit WM-4 Total Return Derivative Fund
HUF/EUR/USD HUF 1,351842 2026.06.29. 14,5% 1,1% 4,5% 7,8% 6,7% 3,6% 1% 2,2% 2012.12.14. 5
HELIOS Total Return Derivatives Fund A sorozat
USD 0,009003 2024.12.11. -3,5% -2,7% -5,1% N/A N/A N/A -5,9% -3,7% 2022.03.04. 4
HELIOS Total Return Derivatives Fund HUF sorozat
HUF 0,625338 2026.06.29. -31,5% -17,9% -28,8% N/A N/A N/A -19,2% -25,9% 2024.11.25. 4
HELIOS Total Return Derivatives Fund EUR sorozat
EUR 0,006434 2026.06.29. -31,9% -19,4% -29,4% N/A N/A N/A -20,7% -24,5% 2024.11.25. 4
Himalayas Total Return Derivative Investment Fund A sorozat
HUF 1,102554 2026.06.29. 17,5% -2,2% -2,5% -0,2% 8,7% N/A -2,1% 1,4% 2019.05.28. 5
Himalayas Total Return Derivative Investment Fund EUR sorozat
EUR 0,00953 2026.06.29. 15,6% -4,5% N/A N/A N/A N/A -4,4% -4,5% 2025.11.06. 4
HOLD Beat Absolute Return Derivative Investment Fund B sorozat HUF
HUF 1,141795 2026.06.29. 6,1% 3,8% 7,5% N/A N/A N/A 3,9% 10,4% 2025.02.25. 3
HOLD Beat Absolute Return Derivative Investment Fund A sorozat FIX HUF
HUF 2,116616 2026.06.29. 5,8% 3,7% 8,2% 19,7% N/A N/A 3,8% 18,8% 2022.02.18. 3
HOLD Beat Absolute Return Derivative Investment Fund C sorozat EUR
EUR 1,097983 2026.06.29. 5% 2,1% 4,4% N/A N/A N/A 2,3% 7,2% 2025.02.25. 3
HOLD Columbus Global Value Absolute Return Derivative Investment Fund B sorozat EUR
EUR 1,484851 2026.06.29. 1% 2,5% 9,8% 11,6% 7,2% N/A 2,5% 7,5% 2021.01.14. 3
HOLD Columbus Global Value Absolute Return Derivative Investment Fund A sorozat HUF
HUF 4,56844 2026.06.29. 1,6% 4,1% 13,7% 16,6% 13,2% 9,6% 4,1% 8,5% 2007.09.04. 3
HOLD Diverzification Absolute Return Derivative Investment Fund
EUR 0,018407 2026.06.29. 2,5% 4,5% 13,1% 13,5% 9,6% N/A 4,4% 9,9% 2019.12.30. 3
HOLD EURO PB2 Absolute Return Fund of Funds
EUR 0,011392 2026.06.29. 0,7% 0,9% 1,8% 2,8% 1,2% 1,4% 0,9% 1,2% 2015.10.22. 2
HOLD EURO PB3 Absolute Return Fund of Funds
EUR 0,035544 2026.06.29. 2,7% 4,1% 10% 11,2% 7,3% 6% 4% 7,5% 2008.12.10. 3
HOLD Galaxis Absolute Return Fund of Funds
HUF 2,929405 2026.06.29. 0,7% 3% 9,3% 13,6% 11% 7,2% 2,9% 7,3% 2011.03.19. 3
HOLD Galaxis EURO Absolute Return Fund of Funds
EUR 1,597743 2026.06.29. -0,2% 1,1% 4,9% 8,4% 5,1% 3,9% 1,1% 3,6% 2013.05.15. 3
HOLD Infinity Total Return Derivative Investment Fund B sorozat EUR
EUR 1,016963 2026.06.29. N/A N/A N/A N/A N/A N/A 1,7% 1,7% 2026.04.09. 2
HOLD Infinity Total Return Derivative Investment Fund D sorozat HUF
HUF 1,0225 2026.06.29. N/A N/A N/A N/A N/A N/A 2,2% 2,2% 2026.04.09. 2
HOLD Infinity Total Return Derivative Investment Fund A sorozat HUF
HUF 1,023142 2026.06.29. N/A N/A N/A N/A N/A N/A 2,3% 2,3% 2026.04.09. 2
HOLD Infinity Total Return Derivative Investment Fund C sorozat USD
USD 1,018661 2026.06.29. N/A N/A N/A N/A N/A N/A 1,9% 1,9% 2026.04.09. 2
HOLD Molto Forte Absolute Return Sub Fund of Funds B sorozat USD
USD 1,428038 2026.06.29. 1,5% 3% 10,4% N/A N/A N/A 3% 12,8% 2023.07.18. 2
HOLD Molto Forte Absolute Return Sub Fund of Funds A sorozat HUF
HUF 2,525233 2026.06.29. 1,9% 4,2% 12,5% 16,4% 14,1% N/A 4,1% 10,2% 2016.12.09. 3
HOLD Molto Forte EURO Absolute Return Sub Fund of Funds
EUR 0,019909 2026.06.29. 1% 2,3% 8,3% 11,2% 8,4% 7,1% 2,3% 7% 2016.04.12. 3
HOLD Orion Absolute Return Derivative Investment Fund A sorozat HUF
HUF 2,851665 2026.06.29. 0,3% 9,1% 22,6% 22,3% 18% N/A 8,7% 13,4% 2018.03.02. 3
HOLD Orion Absolute Return Derivative Investment Fund B sorozat EUR
EUR 1,543509 2026.06.29. -0,1% 7,6% 18,5% N/A N/A N/A 7,2% 15,8% 2023.07.18. 3
HOLD PB1 Absolute Return Fund of Funds
HUF 3,143279 2026.06.29. 3% 3,9% 7% 8,3% 7,5% 5,1% 3,8% 5,9% 2006.08.22. 2
HOLD PB2 Absolute Return Fund of Funds
HUF 2,844542 2026.06.29. 3% 3,8% 7% 8,2% 7,2% 4,8% 3,8% 5,4% 2006.08.22. 2
HOLD PB3 Absolute Return Fund of Funds
HUF 4,505994 2026.06.29. 3,4% 5,7% 13,4% 16,2% 13,1% 9,4% 5,6% 7,9% 2006.08.22. 3
HOLD Rubicon Absolute Return Derivative Investment Fund A sorozat HUF
HUF 12,897756 2026.06.29. 1,5% 5,4% 17,8% 20,6% 18% 13,7% 5,4% 15,6% 2008.11.19. 3
HOLD Rubicon Absolute Return Derivative Investment Fund B sorozat EUR
EUR 0,974559 2026.06.29. 0,7% N/A N/A N/A N/A N/A -2,5% -2,5% 2026.03.11. 2
HOLD Safe EURO Total Return Investment Fund
EUR EUR 0,010246 2026.06.29. 0,5% 0,7% 1,4% 2,3% 1,3% 0,2% 0,7% 0,1% 2007.10.26. 1
HOLD Safe Total Return Investment Fund
HUF HUF 3,42404 2026.06.29. 2% 2,9% 5,8% 7,4% 7,5% 3,1% 2,9% 4,6% 1999.05.18. 2
HOLD Safe USD Total Return Investment Fund
USD USD 0,011836 2026.06.29. 0,8% 1,4% 3,1% 4% 3% 1,9% 1,4% 0,9% 2007.10.26. 1
HOLD USD PB2 Absolute Return Fund of Funds
USD 0,013617 2026.06.29. 1,1% 1,7% 3,7% 4,5% 2,8% 3,2% 1,6% 2,9% 2015.10.22. 2
HOLD USD PB3 Absolute Return Fund of Funds
USD 0,02172 2026.06.29. 3% 4,5% 11,5% 13,1% 9,1% 8% 4,4% 7,3% 2015.06.30. 3
HOLD VK 100 Absolute Return Sub Fund of Funds B sorozat EUR
EUR 1,152884 2026.06.29. 2,7% 2,5% 4,8% N/A N/A N/A 2,5% 5,8% 2023.12.18. 3
HOLD VK 100 Absolute Return Sub Fund of Funds C sorozat USD
USD 1,20671 2026.06.29. 2,7% 3% 6,6% N/A N/A N/A 2,9% 7,7% 2023.12.18. 3
HOLD VK 100 Absolute Return Sub Fund of Funds A sorozat HUF
HUF 1,498273 2026.06.29. 3,1% 3,9% 8,3% 10,8% N/A N/A 3,9% 9% 2021.08.16. 2
HOLD VK 200 Absolute Return Sub Fund of Funds B sorozat EUR
EUR 1,244632 2026.06.29. 3,8% 3,8% 8% N/A N/A N/A 3,8% 9% 2023.12.18. 3
HOLD VK 200 Absolute Return Sub Fund of Funds C sorozat USD
USD 1,298869 2026.06.29. 4% 4,3% 9,7% N/A N/A N/A 4,3% 10,9% 2023.12.18. 3
HOLD VK 200 Absolute Return Sub Fund of Funds A sorozat HUF
HUF 1,652758 2026.06.29. 4,3% 5,2% 11,5% 14,4% N/A N/A 5,2% 11,3% 2021.08.16. 2
HOLD VK 300 Absolute Return Sub Fund of Funds A sorozat HUF
HUF 1,811856 2026.06.29. 5,6% 6,6% 15,1% 18,2% N/A N/A 6,6% 13,5% 2021.08.16. 2
HOLD VK 300 Absolute Return Sub Fund of Funds B sorozat EUR
EUR 1,343038 2026.06.29. 5,1% 5,1% 11,4% N/A N/A N/A 5,1% 12,4% 2023.12.18. 3
HOLD VK 300 Absolute Return Sub Fund of Funds C sorozat USD
USD 1,397695 2026.06.29. 5,2% 5,6% 13,2% N/A N/A N/A 5,6% 14,1% 2023.12.18. 3
HOLD VM Absolute Return Derivative Investment Fund B sorozat
HUF 1,5245 2026.06.29. 2,3% 5,8% 14,4% 11,6% 9,3% N/A 5,8% 4,5% 2017.01.04. 2
HOLD VM Absolute Return Derivative Investment Fund C sorozat
HUF 1,565594 2026.06.29. 2,3% 5,7% 13,7% 11,4% 9,1% N/A 5,6% 5,1% 2017.07.17. 2
HOLD VM Absolute Return Derivative Investment Fund A sorozat
HUF 3,295209 2026.06.29. 2,2% 5,5% 13,5% 11,1% 8,8% 4,7% 5,4% 5,9% 2005.10.13. 2
HOLD VM EURO Absolute Return Fund of Funds
EUR 11,654836 2026.06.29. 1,4% 3,2% 7,9% 5,2% 2,2% 0,8% 3,2% 1% 2010.06.04. 3
Hydra Derivative Total Return Fund C sorozat
USD 1,036753 2026.06.29. 3,5% N/A N/A N/A N/A N/A 3,7% 3,7% 2026.01.05. 6
Hydra Derivative Total Return Fund
HUF 1,512864 2026.06.29. -4% -0,5% 9,5% 7,6% 8,3% N/A -0,2% 5% 2017.12.18. 4
Hydra Derivative Total Return Fund B sorozat
EUR 1,057907 2026.06.29. 4,3% N/A N/A N/A N/A N/A 5,8% 5,8% 2026.01.05. 6
Investrium Absolute Return Derivative Investment Fund A sorozat
HUF 0,916356 2026.06.29. 1,9% -2% 3,3% N/A N/A N/A -1,8% -4% 2024.05.02. 4
Investrium Absolute Return Derivative Investment Fund EUR sorozat
EUR 0,009863 2026.06.29. 11,9% 7,1% N/A N/A N/A N/A 6,8% 10,5% 2024.05.02. 4
MBH Adaptive Total Return Derivatives Fund EUR sorozat
EUR 1,120023 2026.06.29. 5,1% 2,9% 6,9% N/A N/A N/A 2,8% 8% 2024.11.29. 3
MBH Adaptive Total Return Derivatives Fund A sorozat
HUF 1,650532 2026.06.29. 5,6% 4% 10% 11,2% 5,4% 4,9% 4% 4,8% 2015.09.28. 3
MBH Adaptive Total Return Derivatives Fund USD sorozat
USD 1,262583 2026.06.29. 5,2% 3,3% 8,2% N/A N/A N/A 3,3% 16,8% 2024.11.29. 3
MBH Aktív Alfa Total Return Derivatives Fund USD sorozat
USD 1,275821 2026.06.29. 9,3% 10,4% 15,2% N/A N/A N/A 10,2% 17,6% 2024.11.29. 3
MBH Aktív Alfa Total Return Derivatives Fund EUR sorozat
EUR 1,219598 2026.06.29. 8,9% 9,3% 12,4% N/A N/A N/A 9,2% 14,5% 2024.11.29. 3
MBH Aktív Alfa Total Return Derivatives Fund A sorozat
HUF 2,183016 2026.06.29. 8,2% 9,8% 14,8% 16,4% 12,4% 7,6% 9,6% 6,9% 2014.11.17. 3
MBH Ambition Total Return Derivatives Fund USD sorozat
USD 1,158399 2026.06.29. 8,8% 10% N/A N/A N/A N/A 9,5% 15,5% 2025.05.12. 3
MBH Ambition Total Return Derivatives Fund HUF sorozat
HUF 2,772709 2026.06.29. 8,2% 9,1% 15,6% 16,6% 9% 8,9% 8,7% 8% 2013.04.25. 3
MBH Ambition Total Return Derivatives Fund EUR sorozat
EUR 1,13032 2026.06.29. 8,4% 8,4% N/A N/A N/A N/A 7,9% 12,8% 2025.05.12. 3
MBH Central Total Return Derivatives Fund HUF sorozat
Egyéb HUF 4,937402 2026.06.29. 3,1% 3,5% 8,3% 17,5% 11,7% 11,4% 3,4% 8% 1994.09.26. 3
MBH Central Total Return Derivatives Fund EUR sorozat
EUR 1,057917 2026.06.29. 3% 2,6% 5,3% N/A N/A N/A 2,5% 5,1% 2025.04.23. 3
MBH Controll Absolute Return Derivative Fund I sorozat
HUF 1,000797 2026.06.29. N/A N/A N/A -10,2% -5,6% -0,1% 0,1% -0,1% 2015.10.26. 3
MBH Controll Absolute Return Derivative Fund EUR sorozat
EUR 1,08653 2026.06.29. 4,2% 4,8% N/A N/A N/A N/A 4,6% 8,6% 2025.04.22. 3
MBH Controll Absolute Return Derivative Fund A sorozat
Egyéb HUF 3,309029 2026.06.29. 4,4% 5% 10,5% 12,9% 10,9% 7,9% 4,8% 6,8% 2010.10.01. 3
MBH Controll Absolute Return Derivative Fund USD sorozat
USD 1,105479 2026.06.29. 4,5% 5,2% N/A N/A N/A N/A 5,1% 10,4% 2025.04.22. 3
MBH Domestic Emerging Absolute Return Derivative Fund
HUF HUF 1,805926 2026.06.29. 3,9% 5,5% 10,6% 18% 11,7% N/A 5,4% 8,3% 2018.12.05. 3
MBH Global Titans Total Return Fund of Funds HUF sorozat
HUF 3,226506 2026.06.29. 3,7% 4,6% 8,5% 12,6% 9% 9,3% 4,6% 8,3% 2011.08.11. 3
MBH Global Titans Total Return Fund of Funds EUR sorozat
EUR 1,075193 2026.06.29. 3,6% 3,1% 5,1% N/A N/A N/A 3,1% 6,4% 2025.02.18. 3
MBH Global Titans Total Return Fund of Funds USD sorozat
USD 1,090888 2026.06.29. 3,2% 3,3% 6,1% N/A N/A N/A 3,3% 8,2% 2025.02.18. 3
MBH NEXT Technology Total Return Derivatives Fund HUF sorozat
EUR,USD HUF 2,28562 2026.06.29. 1,7% -0,9% 1,6% 14,8% 7,9% N/A -0,9% 14% 2020.02.28. 4
MBH NEXT Technology Total Return Derivatives Fund USD sorozat
EUR,USD USD 1,858059 2026.06.29. 0,7% -2,1% -0,2% 11,5% 3% N/A -2,1% 10,3% 2020.02.28. 4
MBH NEXT Technology Total Return Derivatives Fund EUR sorozat
EUR,USD EUR 0,92744 2026.06.29. 0,6% -2,9% -2,7% N/A N/A N/A -2,9% -4,5% 2021.10.25. 4
MBH Paradigma Absolute Return Derivative Fund EUR sorozat
EUR 1,079295 2026.06.29. 2,8% 4,3% N/A N/A N/A N/A 4,1% 7,3% 2025.04.15. 3
MBH Paradigma Absolute Return Derivative Fund I sorozat
HUF 1,637007 2026.06.29. 3,9% 6,3% 12,2% 10,5% 7,1% 4,8% 6,1% 4,7% 2015.10.26. 3
MBH Paradigma Absolute Return Derivative Fund HUF sorozat
HUF 1,618721 2026.06.29. 3,7% 5,9% 11,6% 9,8% 6,4% 4,1% 5,8% 4% 2014.02.24. 3
MBH Paradigma Absolute Return Derivative Fund USD sorozat
USD 1,09531 2026.06.29. 3,1% 4,7% N/A N/A N/A N/A 4,6% 8,6% 2025.04.15. 3
MBH Real Estate Market Total Return Derivatives Fund A Sorozat
Egyéb HUF 2,577212 2026.06.29. 2,9% 6,4% 7,4% 9,4% 6,5% 7,7% 6,1% 5% 2007.01.26. 3
MBH Real Estate Market Total Return Derivatives 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 Rotunda Absolure Return Derivatives Fund HUF sorozat
HUF 1,549131 2026.06.29. -1,9% -1,7% -0,2% 4,2% 1,4% N/A -1,6% 6,6% 2019.06.12. 4
MBH Rotunda Absolure Return Derivatives Fund USD sorozat
USD 0,987026 2026.06.29. -2,3% -2,7% -2,2% N/A N/A N/A -2,6% -2,3% 2025.04.25. 4
MBH Rotunda Absolure Return Derivatives Fund EUR sorozat
EUR 0,957762 2026.06.29. -3% -3,7% -4,3% N/A N/A N/A -3,6% -4,5% 2025.04.25. 4
New Wave EUR Total Return Fund
Egyéb EUR 0,010946 2026.06.29. 0,2% 0,6% 8,6% 0,8% 2,3% 0,3% 0,3% 0,6% 2010.05.04. 4
OTP AHA EUR Derivative Fund of Funds
EUR EUR 1,076697 2026.06.29. 5% 5% 6,7% 3% -0,8% 0,5% 5% 0,6% 2014.05.19. 3
OTP Climate Change Total Return Derivative Fund A sorozat
HUF 2,805259 2026.06.29. 4,1% 8,8% 21,7% 10% 5,3% 12,6% 9,8% 5,7% 2008.01.08. 4
OTP Climate Change Total Return Derivative Fund B sorozat
EUR 2,011108 2026.06.29. 14,3% 18,9% 37,2% 11,7% 5,1% 11,3% 19,5% 7% 2008.01.08. 4
OTP EMDA EUR Derivative Fund of Funds B sorozat
HUF 1,048917 2026.06.29. -16,5% -11,5% -16,4% -1,5% N/A N/A -11,4% 1,1% 2021.09.13. 4
OTP EMDA EUR Derivative Fund of Funds A sorozat
EUR 1,039147 2026.06.29. -8,3% -3,2% -5,7% 0,1% N/A N/A -3,6% 0,8% 2021.09.13. 3
OTP EMDA Total Return Derivative Fund A sorozat
HUF 7,715422 2026.06.29. -7,6% -1,3% -1,5% 5,4% 8,9% 7,9% -1,7% 11,9% 2008.05.14. 3
OTP EMDA Total Return Derivative Fund I sorozat
HUF 8,446926 2026.06.29. -7,3% -0,7% -0,5% 6,5% 10% N/A -1,1% 11,1% 2018.02.27. 3
OTP Flexible Total Return Fund B sorozat
HUF 2,186385 2026.06.29. 1,7% 11,9% 47,1% 23,6% 11,9% 7,5% 11,8% 5,2% 2010.12.20. 4
OTP Flexible Total Return Fund C sorozat
EUR 1,52045 2026.06.29. 11,4% 21,8% 64,5% 24,6% 10,9% 5,6% 21% 2,7% 2010.12.20. 4
OTP Flexible Total Return Fund A sorozat
HUF 1,953861 2026.06.29. 1,5% 11,5% 46,1% 22,8% 11,1% 6,8% 11,4% 4,4% 2010.12.20. 4
OTP New Europe Investing into Euro Funds Fund
EUR EUR 1,185756 2026.06.29. 1,1% 1,5% 3,1% 4,1% 0,8% 1,3% 1,5% 1,4% 2014.05.19. 3
OTP New Europe Total Return Derivatives Fund I Sorozat
HUF 2,957139 2026.06.29. 2,3% 4,1% 8,8% 10,8% 8,6% N/A 4% 6,6% 2007.11.12. 3
OTP New Europe Total Return Derivatives Fund A Sorozat
HUF HUF 2,712889 2026.06.29. 2% 3,6% 7,9% 9,8% 7,6% 5,1% 3,5% 5,5% 2007.11.12. 3
OTP New Europe Total Return Derivatives Fund B Sorozat
EUR EUR 1,94435 2026.06.29. 12,1% 13,3% 21,6% 11,5% 7,4% 3,9% 12,6% 2,2% 2007.11.12. 3
OTP Premium Derivative Euro Fund of Funds
HUF EUR 1,169548 2026.06.29. -1,9% 5,6% 3,7% 3,8% 2,1% N/A 5,3% 1,7% 2017.02.02. 3
OTP Premium Derivative Fund of Funds
HUF 2,832976 2026.06.29. -0,9% 7,8% 8,2% 9,1% 8,6% 5,7% 7,4% 7,1% 2011.04.19. 3
OTP Sigma Derivative Total Return Fund I Sorozat
HUF HUF 2,223777 2026.06.29. 5,2% 6,7% 15,3% 14,4% 16,5% 8,4% 6,6% 8% 2016.02.24. 4
OTP Sigma Derivative Total Return Fund A Sorozat
HUF HUF 1,847406 2026.06.29. 4,9% 5,8% 13,5% 12,6% 14,6% 6,5% 5,8% 6,1% 2016.02.24. 4
OTP Spectra Fund of Funds
HUF 1,599591 2026.06.29. 0,2% 5,5% 6,8% 8,3% 8,7% N/A 5,3% 7,5% 2020.01.08. 2
OTP Supra Investing Fund of Dollar Funds
USD USD 1,090745 2026.06.29. -1,8% 4,5% 7,3% 8,4% 4,7% N/A 3,8% 0,9% 2017.01.17. 3
OTP Supra Investing Fund of Euro Funds
EUR 0,945121 2026.06.29. -2,3% 3,5% 5,1% 6,3% 2,6% -0,6% 2,8% -0,5% 2014.05.19. 3
OTP Supra Total Return Derivative Fund I Sorozat
HUF 5,600728 2026.06.29. -1,2% 6,2% 11% 13% 10,4% N/A 5,5% 2,8% 2008.05.14. 3
OTP Supra Total Return Derivative Fund A Sorozat
HUF 5,114117 2026.06.29. -2% 6,4% 10,5% 12% 9,3% 3% 5,6% 9,4% 2008.05.14. 3
OTP Total Return Derivative Fund A sorozat
HUF 2,410601 2026.06.29. 5,9% 7% 11,4% 8,4% 5,7% 4,2% 7% 4,5% 2006.07.07. 3
OTP Total Return Derivative Fund B sorozat
HUF 2,857364 2026.06.29. 6,1% 7,4% 12,4% 9,4% 6,7% 5,2% 7,4% 5,4% 2006.07.07. 3
OTP Treasures of Earth Total Return Derivative Fund I sorozat
HUF 4,622247 2026.06.29. -9,2% 24,6% 8,8% 7,3% 11,7% 10,8% 23% 12,5% 2016.02.08. 4
OTP Treasures of Earth Total Return Derivative Fund B sorozat
EUR 3,392048 2026.06.29. -1% 35,6% 21,2% 7,5% 10,1% 8,1% 33,3% 6,8% 2009.02.04. 4
OTP Treasures of Earth Total Return Derivative Fund A sorozat
HUF 4,00568 2026.06.29. -9,9% 24% 7,5% 5,9% 10,3% 9,3% 22,5% 8,3% 2009.02.04. 4
OTP Trend Total Return Derivatives Fund A sorozat
HUF 45819,959234 2026.06.29. 10,3% 10% 13,2% 9,2% 8,5% 10,2% 10,9% 10,9% 2011.12.15. 4
OTP Trend Total Return Derivatives Fund B sorozat
HUF 56533,102531 2026.06.29. 10,2% 10,3% 14,5% 10,5% 10% 11,7% 11,2% 12,6% 2011.12.15. 4
Palomar Absolute Return Derivative Investment Fund A sorozat HUF
HUF 1,438719 2026.06.29. -1,2% -2,2% -3,1% 11% N/A N/A -2,2% 9,8% 2022.08.04. 3
Palomar Absolute Return Derivative Investment Fund C sorozat USD
USD 1,241894 2026.06.29. -2% -3,6% -5,2% 8,3% N/A N/A -3,6% 5,5% 2022.08.04. 3
Palomar Absolute Return Derivative Investment Fund D sorozat HUF
HUF 1,523761 2026.06.29. -1% -1,8% -2,6% 12,6% N/A N/A -1,8% 11,4% 2022.08.04. 3
Palomar Absolute Return Derivative Investment Fund B sorozat EUR
EUR 1,142976 2026.06.29. -2,4% -4,4% -7,7% 6,3% N/A N/A -4,4% 3,4% 2022.08.04. 3
Platina Delta Absolute Return Derivative Investment Fund Y sorozat HUF
HUF 1,369037 2026.06.29. 0,6% 6,1% 32% N/A N/A N/A 6,4% 26,9% 2025.03.04. 3
Platina Delta Absolute Return Derivative Investment Fund X sorozat HUF
HUF 1,306412 2026.06.29. 0,9% 5,4% 26,8% N/A N/A N/A 5,7% 22,4% 2025.03.04. 3
Platina Delta Absolute Return Derivative Investment Fund E sorozat EUR
EUR 1,250979 2026.06.29. 0,4% 3,9% 22,7% N/A N/A N/A 4,2% 18,5% 2025.03.04. 3
Platina Delta Absolute Return Derivative Investment Fund A sorozat HUF
HUF 11,620637 2026.06.29. 1% 6,7% 33,8% 33,5% 22% 18,5% 7% 13,1% 2006.08.22. 4
PRESTIGE Select Securities Fund of Funds USD sorozat
USD 0,010166 2026.06.29. -1,4% -2,1% N/A N/A N/A N/A -1,9% 0,5% 2025.05.29. 2
PRESTIGE Select Securities Fund of Funds A sorozat
HUF 1,189079 2026.06.29. 0% 0,6% 3% 8,9% 3,5% N/A 0,8% 3,5% 2021.06.29. 0
PRESTIGE Select Securities Fund of Funds EUR sorozat
EUR 0,010021 2026.06.29. -1,3% -2% N/A N/A N/A N/A -1,8% 0% 2025.05.29. 2
Prestige Total Return Derivative Sub-Fund HUF sorozat
HUF 1,157067 2026.06.29. 5,9% 3,3% 6,7% 6,9% 6,4% 1,3% 3,3% 1,3% 2015.06.03. 3
Prestige Total Return Derivative Sub-Fund EUR sorozat
EUR 0,009007 2026.06.29. 5,8% 2,4% 3,6% 3,2% 1,7% N/A 2,4% -1,3% 2020.07.16. 3
Raiffeisen Etalon Total Return Fund Q sorozat
HUF 2,236431 2026.06.30. N/A N/A N/A N/A N/A N/A N/A N/A 2019.09.12. 3
Raiffeisen Etalon Total Return Fund E sorozat
EUR 1,441197 2026.06.30. 4,4% 3,3% 7,9% 8,9% 7,9% N/A 3,1% 7,7% 2021.06.18. 3
Raiffeisen Etalon Total Return Fund A sorozat
HUF 2,832161 2026.06.30. 2,9% 3,2% 8,4% 12,8% 12,3% 6,6% 3,1% 5,1% 2005.08.11. 3
Raiffeisen Etalon Total Return Fund U sorozat
USD 1,558417 2026.06.30. 4,6% 3,6% 9,4% 10,6% 9,4% N/A 3,4% 9,4% 2021.06.18. 3
Raiffeisen Forte Total Return Fund A sorozat
HUF HUF 3,056671 2026.06.30. 5,2% 9,1% 18,9% 13,2% 10,8% 5,8% 9,1% 5,6% 2006.01.10. 3
Raiffeisen Forte Total Return Fund Q sorozat
HUF HUF 1,912656 2026.06.30. 5,8% 10,2% 21,2% 15,1% 11,9% N/A 10,2% 10% 2019.09.12. 3
Raiffeisen Forte Total Return Fund R sorozat
HUF 1,5537 2026.06.30. 0% 4,2% 12,7% 11,8% 7,6% N/A 4,3% 5,1% 2017.09.22. 3
Raiffeisen Forte Total Return Fund U sorozat
USD 1,577779 2026.06.30. 6,5% 8,1% 18,6% 12,5% N/A N/A 8% 9,9% 2021.09.01. 4
Raiffeisen Forte Total Return Fund E sorozat
EUR 1,56837 2026.06.30. 7,3% 10,1% 20,7% 10,9% N/A N/A 9,9% 9,8% 2021.09.01. 3
Raiffeisen Genezis Total Return Derivative Fund I sorozat
HUF 1,067369 2026.06.30. 3,4% 3,3% 6,5% N/A N/A N/A 3,3% 6,4% 2025.05.10. 4
Raiffeisen Solution Plus Absolute Return Fund R sorozat
HUF 1,623734 2026.06.30. 0,7% 1,7% 7,9% 11,2% 8,6% N/A 1,8% 7,9% 2020.01.29. 3
Raiffeisen Solution Plus Absolute Return Fund Q sorozat
HUF 1,657592 2026.06.30. 0,7% 1,7% 7,6% 11,2% 8,3% N/A 1,8% 7,7% 2019.09.12. 3
Raiffeisen Solution Plus Absolute Return Fund E sorozat
EUR 1,681528 2026.06.30. 3,5% 3,5% 8,6% 7,7% 3,3% 3,1% 3,5% 2,8% 2007.07.30. 3
Raiffeisen Solution Plus Absolute Return Fund U sorozat
USD 1,568244 2026.06.30. 3,9% 4% 10,5% 9,5% 5,2% N/A 4% 5,3% 2018.01.05. 3
Raiffeisen Solution Plus Absolute Return Fund A sorozat
HUF 1,738517 2026.06.30. 0,8% 1,6% 7,1% 10,5% 7,7% N/A 1,7% 6% 2017.02.07. 3
Raiffeisen Solution Pro Absolute Return Fund U sorozat
USD 1,719723 2026.06.30. 6% 7,8% 15,7% 11% 6,4% N/A 7,6% 6,5% 2018.01.05. 4
Raiffeisen Solution Pro Absolute Return Fund B sorozat
HUF 10,287508 2026.06.30. 1,9% 4,3% 11,1% 11,8% 8,6% N/A 4,4% 7% 1999.01.19. 4
Raiffeisen Solution Pro Absolute Return Fund A sorozat
HUF 10,42734 2026.06.30. 2,1% 4,6% 11,1% 11,8% 8,7% 7,5% 4,6% 6,2% 1999.01.19. 4
Raiffeisen Solution Pro Absolute Return Fund Q sorozat
HUF 1,831444 2026.06.30. 1,9% 4,5% 11,4% 12,3% 9,3% N/A 4,6% 9,3% 2019.09.12. 4
Raiffeisen Solution Pro Absolute Return Fund R sorozat
HUF 1,818672 2026.06.30. 2% 4,7% 11,7% 12,3% 9,8% N/A 4,7% 9,8% 2020.01.29. 4
Raiffeisen Solution Pro Absolute Return Fund E sorozat
EUR 1,545729 2026.06.30. 5,7% 7,3% 14% 9,4% 4,6% N/A 7,2% 4,7% 2017.02.08. 4
Raiffeisen Solution Start Absolute Return Fund A sorozat
HUF 2,559926 2026.06.30. 1% 2,2% 6,9% 9,8% 7,9% 5,3% 2,3% 5,1% 2007.07.30. 2
Raiffeisen Solution Start Absolute Return Fund U sorozat
USD 1,46776 2026.06.30. 2,9% 3,3% 8,1% 7,8% 4,7% N/A 3,3% 4,6% 2018.01.05. 2
Raiffeisen Solution Start Absolute Return Fund R sorozat
HUF 1,5436 2026.06.30. 0,4% 1,7% 6,4% 10,2% 7,6% N/A 1,8% 7% 2020.01.29. 2
Raiffeisen Solution Start Absolute Return Fund E sorozat
EUR 1,286718 2026.06.30. 2,6% 3% 6,7% 6,3% 3% N/A 3% 2,7% 2017.02.07. 2
Raiffeisen Solution Start Absolute Return Fund Q sorozat
HUF 1,644907 2026.06.30. 1% 2,5% 7,6% 10,6% 8,6% N/A 2,6% 7,6% 2019.09.12. 2
Raiffeisen Solution Start Absolute Return Fund B sorozat
HUF 2,533812 2026.06.30. 0,8% 2,1% 6,9% 9,8% 7,8% N/A 2,2% 5,4% 2007.07.30. 2
SIFI Norm Absolute Return Fund P sorozat
HUF 1,455935 2026.06.29. 3,2% 3,9% 7,4% 8,3% 6,3% N/A 4% 4,5% 2018.01.16. 3
SIFI Norm Absolute Return Fund A sorozat
HUF 1,446098 2026.06.29. 3,4% 4,1% 7,8% 8,6% 6,3% N/A 4,2% 4,5% 2018.01.16. 3
SIFI Orion Absolute Return Derivative Fund P sorozat
HUF 1,41757 2026.06.29. 0,4% 1,3% 3,9% 8,3% 5,3% N/A 1,4% 4,2% 2018.01.16. 3
SIFI Orion Absolute Return Derivative Fund A sorozat
HUF 1,402068 2026.06.29. 0,4% 1,2% 3,8% 8,4% 5,2% N/A 1,4% 4,1% 2018.01.16. 3
Superposition Absolute Return Derivative Investment Fund B sorozat
HUF 1,565702 2026.06.29. -6,8% -8,3% -10% 6,5% 4,8% N/A -8,6% 5,1% 2017.07.17. 3
Superposition Absolute Return Derivative Investment Fund D sorozat EUR
EUR 0,835091 2026.06.29. -7,4% -9,9% -13,7% N/A N/A N/A -10,1% -11% 2024.12.10. 3
Superposition Absolute Return Derivative Investment Fund C sorozat
HUF 1,538103 2026.06.29. -6,7% -8,1% -9,5% 6% 4,6% N/A -8,3% 4,9% 2017.07.17. 3
Superposition Absolute Return Derivative Investment Fund A sorozat
HUF 1,793396 2026.06.29. -6,8% -8,3% -10% 5,5% 4,1% 4,3% -8,6% 4,8% 2014.01.21. 3
VIG Alfa Absolute Return Investment Fund Pi sorozat
PLN 1,473889 2026.06.29. 9% 10,9% 18,1% 13,8% N/A N/A 10,8% 8,5% 2021.09.07. 3
VIG Alfa Absolute Return Investment Fund HUF-I sorozat
HUF 1,19755 2026.06.29. 10% 12,1% 20% N/A N/A N/A 11,9% 18% 2025.05.29. 3
VIG Alfa Absolute Return Investment Fund U sorozat
Egyéb USD 1,533868 2026.06.29. 7% 8,5% 13,7% 10% 4,6% 4,5% 8,4% 4,2% 2016.03.17. 3
VIG Alfa Absolute Return Investment Fund EI sorozat
EUR 1,444766 2026.06.29. 7,2% 8,1% 12,4% 9,3% N/A N/A 8% 9,3% 2022.05.11. 3
VIG Alfa Absolute Return Investment Fund E sorozat
Egyéb EUR 1,291773 2026.06.29. 7% 7,7% 11,6% 8,6% 3,1% 2,8% 7,6% 2,5% 2016.03.17. 3
VIG Alfa Absolute Return Investment Fund A sorozat
Egyéb HUF 4,545384 2026.06.29. 8,1% 9,7% 16,2% 13,4% 8,8% 5,9% 9,6% 7,7% 2006.02.10. 3
VIG Alfa Absolute Return Investment Fund I sorozat
Egyéb HUF 1,94966 2026.06.29. 8,4% 10,4% 17,5% 14,7% 10% 6,9% 10,3% 6,7% 2016.03.08. 3
VIG Alfa Absolute Return Investment Fund B sorozat
Egyéb PLN 3,810437 2026.06.29. 6,9% 8,4% 13,9% 11,1% 6,3% 5,1% 8,3% 4,9% 2009.11.10. 3
VIG Alfa Absolute Return Investment Fund UI sorozat
USD 1,525054 2026.06.29. 7,7% 9,3% 15,3% 11,2% N/A N/A 9,2% 11% 2022.05.11. 3
VIG Alfa Absolute Return Investment Fund C sorozat
Egyéb CZK 1,45857 2026.06.29. 7,4% 8,5% 13,3% 10,2% 5,4% 4% 8,4% 3,7% 2016.03.17. 3
VIG Alfa Absolute Return Investment Fund R sorozat
Egyéb HUF 2,444681 2026.06.29. 8,5% 10,5% 17,8% 14,9% 10,2% 7,1% 10,4% 7,1% 2013.07.16. 3
VIG BondMaxx Total Return Bond Investment Fund U sorozat
USD 0,925843 2026.06.29. 1,8% -0,1% 3,3% 3,1% N/A N/A -0,1% -1,6% 2021.09.14. 2
VIG BondMaxx Total Return Bond Investment Fund I sorozat
HUF HUF 1,949009 2026.06.29. 3,1% 1,9% 6,8% 7,7% 3,2% 2,4% 1,9% 4,4% 2010.12.17. 2
VIG BondMaxx Total Return Bond Investment Fund R sorozat
HUF 1,623319 2026.06.29. 3,2% 2,1% 7,1% 7,9% 5,9% 3,5% 2,1% 3,8% 2013.07.16. 2
VIG BondMaxx Total Return Bond Investment Fund E sorozat
EUR 0,878601 2026.06.29. 1,1% -1,2% 0,8% 1,2% N/A N/A -1,2% -2,7% 2021.09.14. 2
VIG BondMaxx Total Return Bond Investment Fund A sorozat
HUF HUF 1,789767 2026.06.29. 2,8% 1,4% 5,8% 6,7% 2,4% 1,7% 1,4% 3,5% 2010.12.17. 2
VIG BondMaxx Total Return Bond Investment Fund P sorozat
PLN 1,229355 2026.06.29. 1,7% 0% 3,6% 4,3% -0,3% 0,7% 0% 1,6% 2013.08.12. 2
VIG BondMaxx Total Return Bond Investment Fund Pi sorozat
PLN 0,97906 2026.06.29. 1,2% -0,2% 4% 5,4% N/A N/A -0,2% -0,5% 2021.09.14. 2
VIG BondMaxx Total Return Bond Investment Fund C sorozat
CZK 0,973904 2026.06.29. 1,7% -0,2% 2,6% 3,3% -1,1% N/A -0,1% -0,3% 2016.09.01. 2
VIG Marathon Selection Fund P sorozat
PLN 1,466498 2026.06.29. 1,7% 1,9% 6,2% 10,2% 4,1% 4,1% 2% 3,6% 2015.07.08. 3
VIG Marathon Selection Fund A sorozat
HUF 1,656425 2026.06.29. 3,3% 3,8% 8,8% 12,6% 6,7% 5,2% 3,9% 4,7% 2015.07.08. 3
VIG Marathon Selection Fund EI sorozat
EUR 1,313816 2026.06.29. 2% 2,2% 5,5% 7,7% N/A N/A 2,2% 6,8% 2022.05.18. 3
VIG Marathon Selection Fund U sorozat
USD 1,425797 2026.06.29. 1,9% 2% 6,2% 9,4% 2,6% 3,7% 2,1% 3,3% 2015.07.08. 3
VIG Marathon Selection Fund C sorozat
CZK 1,389224 2026.06.29. 2,8% 2,7% 6% 8,5% 5,4% 3,6% 2,8% 3,2% 2016.03.17. 3
VIG Marathon Selection Fund HUF-I sorozat
HUF 1,102474 2026.06.29. 3,7% 4,4% 10,3% N/A N/A N/A 4,5% 9,4% 2025.06.02. 3
VIG Marathon Selection Fund E sorozat
EUR 1,175022 2026.06.29. 1,4% 1% 4% 7,3% 0,8% 1,8% 1,1% 1,5% 2015.07.08. 3
VIG Marathon Selection Fund UI sorozat
USD 1,406506 2026.06.29. 1,9% 2,5% 7,1% 9,2% N/A N/A 2,6% 8,8% 2022.05.18. 3
VIG Marathon Selection Fund R sorozat
HUF 1,815387 2026.06.29. 3,4% 4,3% 9,9% 13,7% 7,9% 6,2% 4,3% 5,7% 2015.07.08. 3
VIG Marathon Selection Fund I sorozat
HUF 1,803803 2026.06.29. 3,5% 4,3% 9,8% 13,5% 7,8% 6% 4,3% 5,5% 2015.07.08. 3
VIG MoneyMaxx Emerging Market Total Return Investment Fund I sorozat
Egyéb HUF 1,48304 2026.06.29. 9,2% 8,8% 17% 14,4% 5,6% 3,9% 8,8% 3,9% 2016.03.08. 3
VIG MoneyMaxx Emerging Market Total Return Investment Fund P sorozat
Egyéb PLN 1,387938 2026.06.29. 8% 7,2% 13,6% 10,9% 1,9% 2% 7,2% 2,6% 2013.07.29. 3
VIG MoneyMaxx Emerging Market Total Return Investment Fund A sorozat
Egyéb HUF 3,481062 2026.06.29. 9,3% 8,5% 15,8% 12,9% 4,3% 2,8% 8,5% 5,7% 2003.12.11. 3
VIG MoneyMaxx Emerging Market Total Return Investment Fund E sorozat
Egyéb EUR 0,983683 2026.06.29. 8,1% 7% 11,6% 7,7% -1,6% -0,2% 6,9% -0,2% 2016.03.17. 3
VIG MoneyMaxx Emerging Market Total Return Investment Fund C sorozat
Egyéb CZK 1,10847 2026.06.29. 8,5% 7,3% 12,8% 9,5% 0,9% 1% 7,3% 1% 2016.03.17. 3
VIG MoneyMaxx Emerging Market Total Return Investment Fund U sorozat
Egyéb USD 1,173429 2026.06.29. 8,2% 7,6% 14,1% 9,8% 0,6% 1,6% 7,6% 1,6% 2016.03.17. 3
VIG MoneyMaxx Emerging Market Total Return Investment Fund R sorozat
Egyéb HUF 1,735489 2026.06.29. 8,9% 8,7% 17,1% 14,7% 5,9% 4,1% 8,7% 4,3% 2013.07.16. 3
VIG Panorama Total Return Investment Fund I sorozat
HUF 1,640305 2026.06.29. 1,6% 8,1% 15% 11,9% 11,4% 6,6% 8,1% 4,4% 2014.11.27. 2
VIG Panorama Total Return Investment Fund U sorozat
USD 1,23117 2026.06.29. 0,8% 6,5% 11,4% 7,1% 5,7% 3,9% 6,5% 1,8% 2014.12.18. 2
VIG Panorama Total Return Investment Fund HUF-I sorozat
HUF 1,169695 2026.06.29. 1,4% 9,1% 16,7% N/A N/A N/A 9,1% 15,5% 2025.05.30. 2
VIG Panorama Total Return Investment Fund R sorozat
HUF 1,611248 2026.06.29. 1,6% 8,1% 15,1% 12,1% 11,5% 6,5% 8,1% 4,3% 2015.01.21. 2
VIG Panorama Total Return Investment Fund UI sorozat
USD 1,30823 2026.06.29. 1,2% 7% 12,8% 8,3% N/A N/A 7% 7,5% 2022.05.05. 2
VIG Panorama Total Return Investment Fund EI sorozat
EUR 1,225492 2026.06.29. 0,4% 5,3% 9,6% 6,4% N/A N/A 5,3% 5,5% 2022.05.05. 2
VIG Panorama Total Return Investment Fund P sorozat
PLN 1,98385 2026.06.29. 1% 6,9% 12,3% 22,7% 15,7% 10% 6,9% 6,2% 2015.01.21. 2
VIG Panorama Total Return Investment Fund A sorozat
HUF 1,449125 2026.06.29. 1,2% 7,4% 13,5% 10,6% 10,1% 5,4% 7,4% 3,3% 2014.11.27. 2
VIG Panorama Total Return Investment Fund C sorozat
CZK 1,281026 2026.06.29. 0,7% 6,4% 10,8% 7,4% N/A N/A 6,4% 6,6% 2022.11.09. 2
VIG Panorama Total Return Investment Fund E sorozat
EUR 1,027616 2026.06.29. 0,2% 4,9% 8,7% 5,3% 4% 2,1% 4,9% 0,2% 2014.12.18. 2
VIG Smart Money Investment Fund of Funds
Egyéb HUF 2,195152 2026.06.29. 2,9% 3,7% 8,3% 10,4% 6,4% 4,3% 3,8% 4,8% 2009.09.15. 4
VIG Smart Money Investment Fund of Funds R sorozat
HUF 1,478937 2026.06.29. 3,2% 4,3% 9,7% 11,7% 7,6% N/A 4,4% 7,6% 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 1,326685 2026.06.23. 1,8% 3,4% 7,1% 7% 7% N/A 3,3% 7% 2018.01.22. 0
Biggeorge 15 Real Estate Developer Property Investment Fund C sorozat
EUR 10,590361 2026.06.23. 2% 3,7% 7,6% N/A N/A N/A 3,5% 7,5% 2023.12.12. 7
Biggeorge 18 Real Estate Distributor Property Investment Fund C sorozat
EUR 1,534927 2026.06.23. 2,1% 3,9% 8,1% N/A N/A N/A 3,7% 8,1% 2024.07.02. 7
Biggeorge 19 Real Estate Distributor Property Investment Fund C sorozat
HUF 246,824546 2026.06.23. 2,8% 5,3% 11,1% N/A N/A N/A 5,1% 13,5% 2025.03.14. 7
Biggeorge 20 Real Estate Developer Property Investment Fund C sorozat
HUF 124,657838 2026.06.26. 2,8% 5,4% 11,2% N/A N/A N/A 5,2% 11% 2025.04.04. 7
Biggeorge 24 Real Estate Distributor Property Investment Fund C sorozat
EUR 10,423318 2026.06.23. 3% 3,8% N/A N/A N/A N/A 3,9% 7% 2025.07.08. 7
Biggeorge 25 Real Estate Developer Fund A sorozat
HUF 15095,005944 2026.06.22. 1,8% 3,4% 7% 6,9% N/A N/A 3,2% 6,9% 2022.01.28. 7
Biggeorge 27 Real Estate Developer Property Investment Fund A sorozat
HUF 155,807004 2026.06.23. 2,8% 5,3% 11,2% 12,7% 9,6% N/A 5,1% 8,1% 2020.10.22. 0
Biggeorge 29 Real Estate Developer Property Investment Fund A sorozat
HUF 134,423613 2026.06.26. 2,8% 5,4% 11,2% N/A N/A N/A 5,2% 11,1% 2025.02.28. 7
Biggeorge 30 Real Estate Developer Property Investment Fund A sorozat
HUF 121,093283 2026.06.22. 0,1% 0,3% 3,2% N/A N/A N/A 0,4% 6,7% 2023.07.18. 7
Biggeorge 30 Real Estate Developer Property Investment Fund C sorozat
HUF 103,214617 2026.06.22. 0,1% 0,3% N/A N/A N/A N/A 0,4% 3,2% 2025.10.15. 7
Biggeorge 34 Real Estate Developer Property Investment Fund A sorozat
HUF 116,178536 2026.06.19. 2,8% 5,3% 11,2% N/A N/A N/A 5% 11% 2025.03.14. 7
Biggeorge 39 Real Estate Developer Property Investment Fund A sorozat
HUF 904,702855 2026.05.18. 559,9% 577,3% 615% 107,7% N/A N/A 568,9% 79,4% 2022.08.11. 7
Biggeorge 40 Real Estate Developer Property Investment Fund A sorozat
HUF 16385,797811 2026.06.22. 2,4% 4,6% 9,6% N/A N/A N/A 4,3% 9,4% 2023.11.02. 7
Biggeorge 44. Real Estate Developer Property Investment Fund A sorozat
HUF 218,720678 2026.06.24. 2,8% 5,4% 11,1% N/A N/A N/A 5,1% 11% 2025.03.14. 7
Biggeorge 45. Real Estate Developer Property Investment Fund C sorozat
EUR 1,10089 2026.04.09. 0,8% N/A N/A N/A N/A N/A 0,8% 1% 2025.07.11. 7
Biggeorge 46. Real Estate Developer Property Investment Fund A sorozat
HUF 109,259902 2026.06.24. 1,6% 1,4% N/A N/A N/A N/A 1,4% 3,1% 2025.03.14. 7
Biggeorge 47 Real Estate Developer Property Investment Fund A sorozat
HUF 116,633028 2026.06.24. 2,8% 5,4% N/A N/A N/A N/A 5,1% 10,3% 2025.04.16. 7
Biggeorge 48 Real Estate Developer Property Investment Fund A sorozat
HUF 106,748625 2026.06.24. -0,2% 0,1% N/A N/A N/A N/A 0,1% 4,3% 2025.04.16. 7
Biggeorge 4. Real Estate Developer Investment Fund
HUF HUF 161,317512 2026.06.23. 0,3% 4,3% 23,5% 14,8% 21,4% 37% 4,8% 14,4% 2007.12.13. 0
Biggeorge 50. Real Estate Developer Property Investment Fund A sorozat
HUF 10555,531324 2026.06.23. 0,3% 1,1% N/A N/A N/A N/A 1,2% 4,6% 2025.07.11. 7
Biggeorge 51. Real Estate Developer Property Investment Fund A sorozat
EUR 1,013079 2026.06.29. 0% 0% N/A N/A N/A N/A -0,5% 0,5% 2025.09.24. 7
Biggeorge 52. Real Estate Developer Property Investment Fund A sorozat
HUF 103,606805 2026.06.26. -1% -0,7% N/A N/A N/A N/A -0,7% -0,6% 2025.12.11. 7
Biggeorge 53. Real Estate Developer Property Investment Fund A sorozat
HUF 111,208064 2026.06.26. 2,8% 5,8% N/A N/A N/A N/A 5,6% 7,6% 2025.10.15. 7
Biggeorge 54. Real Estate Developer Property Investment Fund A sorozat
HUF 103,701081 2026.06.24. -0,8% N/A N/A N/A N/A N/A -0,8% -0,8% 2026.03.18. 7
Biggeorge 55. Real Estate Developer Property Investment Fund A sorozat
EUR 1,036088 2026.04.09. 0,5% N/A N/A N/A N/A N/A 0,5% 0,4% 2025.12.11. 7
ERSTE Open-ended Euro Real Estate Investment Fund T180 sorozat
EUR EUR 1,2232 2026.06.29. 0,9% 1,4% 2,9% 3,6% 3,4% N/A 1,4% 3,1% 2019.12.02. 1
ERSTE Open-ended Euro Real Estate Investment Fund T sorozat
EUR EUR 1,6672 2026.06.29. 0,9% 1,4% 2,9% 3,6% 3,4% 2,7% 1,4% 3% 2009.04.29. 1
Erste Open-ended Real Estate Investment Fund Class T180
HUF HUF 1,5194 2026.06.29. 2,1% 3,6% 7,1% 7,9% N/A N/A 3,5% 9,2% 2021.09.06. 1
Erste Open-end Real Estate Investment Fund L sorozat
HUF 1,0607 2026.06.29. 2,2% 3,8% N/A N/A N/A N/A 3,8% 6,1% 2025.09.01. 2
Erste Open-end Real Estate Investment Fund M180 sorozat
HUF HUF 1,2363 2026.06.29. 2,2% 3,8% 7,7% N/A N/A N/A 3,8% 7,9% 2023.09.21. 2
Erste Open-end Real Estate Investment Fund T sorozat
HUF HUF 3,9587 2026.06.29. 2,1% 3,6% 7,1% 7,9% 8,9% 5,7% 3,5% 6,4% 2004.03.30. 1
Europa Real Estate Investment Fund A sorozat
EUR, HUF HUF 1,8908 2026.07.01. -0,5% -0,8% -1,9% 2,2% 3,2% 4,5% -0,8% 3,4% 2001.03.12. 0
Magyar Posta Takarek Real Estate Investment Fund "I" Sorozat
HUF HUF 2,034078 2026.07.01. 1,9% 4% 7,5% 8,1% 9,4% 6,8% 4% 6,4% 2015.01.13. 2
Magyar Posta Takarek Real Estate Investment Fund "A" Sorozat
HUF HUF 1,856959 2026.07.01. 1,6% 3,3% 6,1% 6,6% 7,9% 5,6% 3,3% 5,2% 2014.03.17. 2
Magyar Posta Takarek Real Estate Investment Fund "B" sorozat
HUF 1,395971 2026.07.01. 2% 4,2% 7,9% 8,5% N/A N/A 4,2% 9,9% 2022.12.21. 2
MBH MAX Real Estate Developer Investment Fund A sorozat
HUF HUF 1,020319 2026.07.01. 0,9% 1,7% N/A N/A N/A N/A 1,7% 2% 2025.11.16. 3
MBH Real Estate Investment Fund
HUF HUF 1,561116 2026.07.01. 1,9% 3,7% 7,2% 9,3% 9,3% N/A 3,7% 8,6% 2021.04.26. 2
OTP PRIME Real Estate Investment Fund I sorozat
HUF 2,054029 2026.07.01. 2,3% 5,1% N/A N/A -3,8% N/A 5,1% 8,6% 2018.12.12. 0
OTP PRIME Real Estate Investment Fund B sorozat
HUF 2,046262 2026.07.01. 2,3% 5,1% N/A N/A N/A N/A 5,1% 5,5% 2025.12.12. 3
OTP PRIME Real Estate Investment Fund A sorozat
HUF 2,043275 2026.07.01. 2,2% 4,8% 8,6% 6,7% 9,2% N/A 4,8% 7,9% 2017.01.17. 3
OTP Real Estate Investment Fund I sorozat
HUF 3,267183 2026.07.01. 1,6% 2,6% 5,6% N/A N/A N/A 2,6% 6,9% 2023.08.24. 2
OTP Real Estate Investment Fund A sorozat
HUF HUF 3,154055 2026.07.01. 1,3% 1,9% 4,3% 5,6% 6,7% 4,6% 1,9% 5,1% 2002.12.05. 2
OTP Real Estate Investment Fund B sorozat
HUF 3,154061 2026.07.01. 1,3% 1,9% 4,3% N/A N/A N/A 1,9% 4,9% 2024.01.09. 2
Raiffeisen Real Estate Investment Fund D180 sorozat
HUF EUR 1,195413 2026.06.30. 0% 0,4% 1,8% 0,1% 1,7% N/A 0,4% 2,7% 2020.03.26. 4
Raiffeisen Real Estate Investment Fund A180 sorozat
HUF HUF 1,621501 2026.06.30. 1,1% 2,6% 6,6% 5% 8% N/A 2,6% 7,8% 2020.03.26. 4
Raiffeisen Real Estate Investment Fund U180 sorozat
USD 1,425877 2026.06.30. 0,4% 1,1% 3,8% 2,2% 3,6% N/A 1,1% 5,7% 2020.03.26. 4
Raiffeisen Real Estate Investment Fund A sorozat
HUF HUF 3,740442 2026.06.30. 1,2% 2,7% 6,5% 5% 7,8% 7,7% 2,7% 7,6% 2002.10.07. 4
Raiffeisen Real Estate Investment Fund C sorozat
HUF 3,112623 2026.06.30. -6,6% -5,7% -6,5% -0,2% 2,7% N/A -5,5% 6% 2005.10.20. 4
Raiffeisen Real Estate Investment Fund D sorozat
EUR 1,55127 2026.06.30. 0% 0,5% 1,8% 0,2% 1,7% N/A 0,4% 4,6% 2016.11.21. 4
Raiffeisen Real Estate Investment Fund U sorozat
USD 1,672809 2026.06.30. 0,5% 1,1% 3,6% 1,7% 3,2% N/A 1% 6% 2017.09.01. 4
Raiffeisen Real Estate Investment Fund L sorozat
HUF 1,042475 2026.06.30. 1,2% 3% N/A N/A N/A N/A 3% 4,1% 2025.10.03. 6
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
Torony Ingatlan Real Estate Fund B sorozat
HUF HUF 1,885561 2026.07.01. 2,4% 3,4% 4,2% 5,7% 8,8% N/A 3,4% 9,6% 2019.08.05. 0
Torony Ingatlan Real Estate Fund A sorozat
HUF HUF 3,173406 2026.07.01. 2,7% 3,9% 5,3% 6,8% 9,4% 10% 3,9% 9,6% 2013.12.13. 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
APELSO Real Estate Developer Fund of Funds EUR sorozat
EUR 1,046555 2026.06.26. -1,2% 0,6% 4,7% N/A N/A N/A 0,7% 4,4% 2025.05.30. 4
Grandum Dollar Real Estate Derivatives Fund of Funds
USD 1,348352 2026.06.29. 1,3% 1,8% 3,9% 3,7% 3,5% N/A 1,7% 3,8% 2018.07.20. 2
Grandum Euro Real Estate Derivatives Fund of Funds
HUF EUR 1,277979 2026.06.29. 1,7% 1,8% 3,1% 3,1% 2,5% 2,4% 1,7% 2,2% 2015.06.10. 2
OTP Dollar Real Estate Market Fund of Funds
USD 1,291505 2026.07.01. 0,8% 1,3% 2,6% 2,5% 2,3% N/A 1,3% 2,7% 2016.11.11. 2
OTP Euro Real Estate Market Fund of Funds
EUR 1,070808 2026.07.01. 0% 0% 0% 0,5% 0,3% N/A 0% 0,7% 2016.11.11. 2
OTP PRIME Euro Real Estate Market Fund of Funds
EUR 1,215042 2026.07.01. 1,4% 2,8% 3,9% 1,6% 2% N/A 2,8% 2,6% 2018.11.20. 3
OTP Real Estate World Fund of Funds
HUF 1,74584 2026.07.01. 2,1% 3,6% 7,4% 7,5% 7,7% 5,6% 3,6% 5,5% 2016.02.16. 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
Commodity market
Erste Gold Cost Averaging 2 Fund of Funds
HUF 0,9854 2026.06.29. N/A N/A N/A N/A N/A N/A -1,5% -1,5% 2026.03.31. 5
Erste Gold Cost Averaging Fund of Funds
HUF 0,9994 2026.06.24. -13% -14,7% -0,1% N/A N/A N/A -11,9% -0,1% 2025.04.16. 4
Erste Gold Fund of Funds USD sorozat
USD 1,6055 2026.06.29. -11,2% -8% 21,1% N/A N/A N/A -8,2% 28,5% 2024.08.09. 4
Erste Gold Fund of Funds DPM USD sorozat
USD 2,1337 2026.06.29. -11,1% -7,7% 21,7% 26,5% 16,6% N/A -8% 13,4% 2020.06.24. 5
Erste Gold Fund of Funds EUR sorozat
EUR 1,2179 2026.06.29. -10,3% -4,9% N/A N/A N/A N/A -5,4% 22,1% 2025.08.18. 4
Erste Gold Fund of Funds DPM HUF sorozat
HUF 2,124 2026.06.29. -18,2% -12,8% 10,9% 23% 18,1% N/A -12,9% 13,4% 2020.07.06. 5
Erste Gold Fund of Funds DPM EUR sorozat
EUR 2,116 2026.06.29. -10,2% -4,7% 25% 24,7% 17,6% N/A -5,2% 13,3% 2020.06.24. 5
Erste Gold Fund of Funds HUF sorozat
Egyéb HUF 2,3163 2026.06.29. -18,3% -13% 10,4% 22,2% 17,2% N/A -13,1% 14% 2020.01.27. 5
Erste Strategic Metals Fund of Funds USD sorozat
USD 0,8861 2026.06.29. N/A N/A N/A N/A N/A N/A -11,4% -11,4% 2026.05.15. 4
Erste Strategic Metals Fund of Funds EUR sorozat
EUR 0,9064 2026.06.29. N/A N/A N/A N/A N/A N/A -9,4% -9,4% 2026.05.15. 4
Erste Strategic Metals Fund of Funds HUF sorozat
HUF 0,9067 2026.06.29. N/A N/A N/A N/A N/A N/A -9,3% -9,3% 2026.05.15. 4
Eurizon Commodity Sub-Fund of Funds
HUF HUF 1,0834 2026.06.29. -14,2% 2,1% 6,3% 5,9% 9,1% 5,7% 1,3% 0,4% 2006.06.02. 4
Eurizon Gold Sub-Fund of Funds
HUF 2,5755 2026.06.29. -9,6% -6,9% 19,7% 25,9% 17,8% N/A -7% 11,3% 2017.09.20. 4
K&H Raw Material Investment Fund of Open-ended Funds HUF
HUF HUF 1,757321 2026.06.25. -2,4% 17,6% 35,5% 16,5% 15,7% 7,9% 18,9% 3,4% 2009.10.05. 5
K&H Raw Material Investment Fund of Open-ended Funds USD
USD USD 0,967273 2026.06.25. -2,5% 16,2% 32,6% 13,2% 9,4% 6% 17,5% -0,2% 2009.10.05. 6
MBH Commodity Derivative Fund
USD HUF 1,384314 2026.06.29. -9,8% 5,6% 12,7% 8,2% 9,3% 5,3% 4,6% 1,9% 2009.07.06. 3
MBH Gold Fund of Funds USD sorozat
HUF USD 1,222477 2026.06.29. -8,6% -6,2% 23% N/A N/A N/A -5,9% 20,9% 2025.03.28. 4
MBH Gold Fund of Funds A sorozat
HUF HUF 2,044153 2026.06.29. -11% -7,8% 18,9% 25,4% 17,3% 8,7% -7,3% 4,4% 2008.07.21. 4
OTP Terra Commodity Fund I sorozat
HUF 0,832953 2026.06.29. -14,1% 7,5% 8,4% 2,2% N/A N/A 7,8% -4,8% 2022.10.20. 4
OTP Terra Commodity Fund B sorozat
EUR 0,94414 2026.06.29. -5,8% 17,2% 21,4% 3,1% N/A N/A 16,8% -1,5% 2022.10.20. 4
OTP Terra Commodity Fund A sorozat
HUF 0,811915 2026.06.29. -14,3% 7,1% 7,7% 1,5% N/A N/A 7,4% -5,5% 2022.10.20. 4
Raiffeisen Raw Material Fund of Funds B sorozat
HUF 2,715439 2026.06.30. -13,7% 6% 17,9% 12% 11,1% N/A 4,1% 9,4% 2010.10.27. 5
Raiffeisen Raw Material Fund of Funds A sorozat
HUF 2,616544 2026.06.30. -13,9% 5,5% 16,8% 11% 10,2% 6,8% 3,6% 4,7% 2005.08.11. 5
VIG Gold Fund EUR-I sorozat
EUR 1,604565 2026.06.29. -10,4% -4% 25,8% N/A N/A N/A -4,1% 25,2% 2024.05.02. 4
VIG Gold Fund HUF-R sorozat
HUF 1,425781 2026.06.29. -18,6% -12,7% 10,2% N/A N/A N/A -12,3% 18,4% 2024.05.02. 4
VIG Gold Fund USD-I sorozat
USD 1,707035 2026.06.29. -11,3% -7,1% 22,4% N/A N/A N/A -6,8% 28,4% 2024.05.02. 4
VIG Gold Fund CZKh-R sorozat
CZK 0,882113 2026.06.29. N/A N/A N/A N/A N/A N/A -12,1% -12,1% 2026.05.21. 4
VIG Gold Fund EUR-R sorozat
EUR 1,183055 2026.06.29. -10,6% -4,6% 24,3% N/A N/A N/A -4,6% 18,3% 2025.06.19. 4
VIG Gold Fund USD-R sorozat
USD 1,538265 2026.06.29. -11,6% -7,7% 20,9% N/A N/A N/A -7,4% 26,1% 2024.08.29. 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
Derivative
Artemisz Bond Derivative Sub-Fund Open Ended Investment Unit B sorozat
EUR 1,07181 2026.06.29. 13% 10,3% 10,2% N/A N/A N/A 10% 2,8% 2023.12.27. 6
Artemisz Bond Derivative Sub-Fund Open Ended Investment Unit A sorozat
HUF 1,202542 2026.06.29. 13,9% 11,2% 16% N/A N/A N/A 10,9% 7,7% 2023.12.29. 6
Artemisz Elite Fund of Funds Sub-Fund Open Ended Investment Unit W sorozat
HUF 1,134715 2026.06.29. 1,7% 3,4% 7,9% N/A N/A N/A 3,7% 7% 2024.08.15. 6
Artemisz Elite Fund of Funds Sub-Fund Open Ended Investment Unit A sorozat
HUF 1,119056 2026.06.29. 1,5% 3% 7,3% N/A N/A N/A 3,3% 6,2% 2024.08.15. 6
Artemisz Elite Fund of Funds Sub-Fund Open Ended Investment Unit B sorozat
EUR 1,151423 2026.06.29. 6,5% 7,8% 12,1% N/A N/A N/A 7,5% 7,8% 2024.08.15. 6
Artemisz Megatrend Derivative Sub-Fund Open Ended Investment Unit A sorozat
HUF 1,327174 2026.06.29. 19,9% 15,7% 16,8% N/A N/A N/A 16,6% 12% 2023.12.29. 6
Artemisz Megatrend Derivative Sub-Fund Open Ended Investment Unit W sorozat
HUF 1,309065 2026.06.29. 17% 13,1% 15% N/A N/A N/A 14% 15,2% 2024.08.05. 6
Artemisz Megatrend Derivative Sub-Fund Open Ended Investment Unit B sorozat
EUR 1,382201 2026.06.29. 27% 22% 26,9% N/A N/A N/A 22,2% 13,8% 2023.12.29. 6
EQUILOR Wealth Office Fund of Funds Derivative Sub-Fund C sorozat
USD 1,281388 2026.06.29. 8,7% 7,9% 15,3% 8,2% N/A N/A 8,1% 8,1% 2023.05.02. 6
EQUILOR Wealth Office Fund of Funds Derivative Sub-Fund B sorozat
EUR 1,29099 2026.06.29. 9,9% 10,1% 17% 8,2% N/A N/A 10,2% 8,5% 2023.05.02. 5
EQUILOR Wealth Office Fund of Funds Derivative Sub-Fund A sorozat
HUF 1,343085 2026.06.29. 5,8% 6,4% 12,2% 9,7% N/A N/A 6,7% 9,8% 2023.05.02. 4
Focus HUF Derivatives Fund
Egyéb HUF 1,208503 2026.06.29. 1,9% 3,9% 7,2% 5,9% 6,1% 4,8% 3,9% 1% 2008.03.20. 4
K&h Dollar Flexible European Corporate Constructive Derivative Open End Fund
USD 1002,324218 2026.06.16. N/A N/A N/A N/A N/A N/A 1,6% 1,6% 2026.05.19. 4
K&H Flexible Europe Tech Deribative Open Ended Fund
HUF 1,064901 2026.06.16. 8,1% 9,2% N/A N/A N/A N/A 7,6% 7,9% 2025.10.21. 4
Sequoia Absolute Return Fund of Funds
EUR 1,555688 2026.06.29. 1% 2,8% 9,2% 10,3% 5,3% N/A 2,8% 5% 2017.06.16. 3
SUI GENERIS 1.1 Absolute Return Derivative Investment Fund
Egyéb HUF 2,164495 2026.06.29. -6,5% -5,1% -3,2% 8,4% 9,4% 7% -4,6% 6,4% 2014.02.03. 1

Information


Fund name: OTP Target-Date 2050 Fund of Funds
Class: Class I
ISIN: HU0000726369
Currency: HUF
Net asset value: 623,752,837
Unit price: 1.771707
Date: 2026.06.29.
Category: Mixed/Dynamic
Geographical risk profile: Global
Currency risk profile: HUF/EUR/USD
Other typical exposure:
ESG classification:
KIID SRRI: 4
Type: Publicly offered open ended institution
Description: 1/K.§ alapok alapja ABA
Start date: 2021.01.06.
Fund manager: OTP Alapkezelő Zrt.
Custodian bank: OTP Bank Rt.
Comparing returns
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