Amundi CR - obligační fond, Amundi Czech Republic, investiční společnost, otevřený podílový fond, performance statistic
ISIN CP: CZ0008477197Amundi CR - obligační fond, Amundi Czech Republic, investiční společnost, otevřený podílový fond, souhrn dat
Year / week | date publishing |
NAV, assets | the number of PC | rate | change week | change month | change year | |
2023 / 42 | 10/20/2023 | 1.8 billion CZK | 1.1050 | -0.76% | - | 11.08% | ||
2023 / 41 | 10/12/2023 | 1.8 billion CZK | 1.1135 | - | - | 9.42% | ||
2023 / 39 | 09/29/2023 | 1.4 billion CZK | 1.1018 | - | - | 7.27% | ||
2023 / 36 | 09/05/2023 | 3.0 billion CZK | 1.1090 | - | -0.40% | 5.84% | ||
2023 / 31 | 08/03/2023 | 1.1 billion CZK | 1.1134 | -0.24% | 1.01% | 3.38% | ||
2023 / 30 | 07/28/2023 | 2.8 billion CZK | 1.1161 | 0.20% | - | 4.57% | ||
2023 / 29 | 07/21/2023 | 2.8 billion CZK | 1.1139 | - | - | 5.82% | ||
2023 / 27 | 07/03/2023 | 1.0 billion CZK | 1.1023 | - | 0.99% | - | ||
2023 / 24 | 06/15/2023 | 969.1 million CZK | 1.0976 | -0.02% | 0.98% | - | ||
2023 / 23 | 06/09/2023 | 967.0 million CZK | 1.0978 | 0.58% | 0.57% | - | ||
2023 / 22 | 06/02/2023 | 2.7 billion CZK | 1.0915 | 0.58% | 0.64% | - | ||
2023 / 21 | 05/26/2023 | 950.1 million CZK | 1.0852 | -0.17% | -0.10% | - | ||
2023 / 20 | 05/19/2023 | 2.7 billion CZK | 1.0870 | -0.42% | 1.10% | - | ||
2023 / 19 | 05/12/2023 | 2.7 billion CZK | 1.0916 | 0.65% | 1.68% | - | ||
2023 / 18 | 05/05/2023 | 934.4 million CZK | 1.0846 | -0.16% | 0.14% | - | ||
2023 / 17 | 04/28/2023 | 933.1 million CZK | 1.0863 | 1.03% | 0.70% | - | ||
2023 / 16 | 04/20/2023 | 2.6 billion CZK | 1.0752 | 0.15% | -0.69% | - | ||
2023 / 15 | 04/13/2023 | 2.6 billion CZK | 1.0736 | -0.88% | -0.82% | - | ||
2023 / 14 | 04/06/2023 | 2.6 billion CZK | 1.0831 | 0.41% | 1.43% | - | ||
2023 / 13 | 03/31/2023 | 2.6 billion CZK | 1.0787 | -0.37% | 2.13% | - |
Poslední zprávy z rubriky Fondy
Perfomance, page description
The page offers history rates for individual mutual funds, including their percentage changes in the last three months, the last year and from the start the fund, historical data on Net Asset Value (NAV) and data about sold and redeemed Participation Certificates (PC) for the respective weeks.
Time: May 16, 2025, 12:20 a.m.
London time: | May 16, 2025, 12:20 a.m. |
NY time: | May 15, 2025, 7:20 p.m. |
Tokyo time: | May 16, 2025, 8:20 a.m. |