Fond vyvážený, otevřený podílový fond Generali Investments CEE, investiční společnost CZ0008474806, Statistic entire table

Fond vyvážený, otevřený podílový fond Generali Investments CEE, investiční společnost CZ0008474806, souhrn dat
Shortened perfomance table
 
Performance and performance history, statistics
Date from NAV / PC Total NAV
in CZK
Number of PC PC movement
for the past week
Development of NAV for PL for Performance
from the beginning
of the year
Performance
from the start
of operation
net sales
in CZK
sold
PC in CZK
redeemed
PC in CZK
sold
PC in units
redeemed
PC in units
last
1 week
last
1 month
last
3 months
last
6 months
last
1 year
Jan. 10, 2020, midnight 1.0425 214 223 645.0000 0.04% 0.07% - - 3.57% - -
Jan. 3, 2020, midnight 1.0421 214 091 579.2000 -0.04% 0.03% - - 3.63% - -
Dec. 31, 2019, midnight 1.0415 213 655 454.4000 -0.10% -0.03% - - - - -
Dec. 27, 2019, midnight 1.0425 213 687 654.1000 0.05% 0.20% - - - - -
Dec. 20, 2019, midnight 1.0420 213 735 841.3000 0.02% 0.23% - - 3.59% - -
Dec. 13, 2019, midnight 1.0418 213 457 150.3000 0.00 0.22% - - 3.66% - -
Dec. 6, 2019, midnight 1.0418 0.13% 0.28% - - 3.74% - -
Nov. 29, 2019, midnight 1.0404 213 374 444.7000 0.08% 0.07% - - 3.69% - -
Nov. 22, 2019, midnight 1.0396 212 975 358.6000 0.01% 0.05% - - 3.36% - -
Nov. 15, 2019, midnight 1.0395 211 730 314.3000 0.06% 0.10% - - 3.29% - -
Nov. 8, 2019, midnight 1.0389 211 885 021.2000 -0.08% 0.00 - - 3.23% - -
Nov. 1, 2019, midnight 1.0397 212 356 117.4000 0.06% 0.05% - - 3.35% - -
Oct. 25, 2019, midnight 1.0391 0.06% 0.00 - - 3.26% - -
Oct. 18, 2019, midnight 1.0385 -0.04% 0.00 - - 3.12% - -
Oct. 11, 2019, midnight 1.0389 -0.03% 0.10% - - 3.18% - -
Oct. 4, 2019, midnight 1.0392 0.01% -0.05% - - 3.24% - -
Sept. 27, 2019, midnight 1.0391 212 789 348.2000 0.06% -0.10% - - 2.98% - -
Sept. 20, 2019, midnight 1.0385 212 801 334.2000 0.06% -0.05% - - 2.98% - -
Sept. 13, 2019, midnight 1.0379 -0.17% -0.12% - - 2.97% - -
Sept. 6, 2019, midnight 1.0397 213 617 753.9000 -0.04% 0.14% - - 3.22% - -
Notice: If NAV or rate (development of NAV / PL) are not published, these data may besupplemented from other sources.

Graf odkupu a prodeje

Graf odkupu a prodeje Fond vyvážený, otevřený podílový fond Generali Investments CEE, investiční společnost  CZ0008474806

Graph of purchase and sale

Graph of purchase and sale Fond vyvážený, otevřený podílový fond Generali Investments CEE, investiční společnost  CZ0008474806
 Graph of purchase and sale, net weekly sales, from   to  
Time: Jan. 19, 2025, 6:51 p.m.
London time: Jan. 19, 2025, 6:51 p.m.
NY time: Jan. 19, 2025, 1:51 p.m.
Tokyo time: Jan. 20, 2025, 3:51 a.m.


 
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