The biggest increase in a rate of mutual funds in a month
Mutual funds | Year/week | Date | Rate | Change week |
Change month |
Change rok |
Goldman Sachs Global Real Estate Equity (Former NN) - X Cap EUR | 2025/26 | 23.6.2025 | 1319.4300 | 0.70% | 2.46% | 0.55% |
AMUNDI FUNDS REAL ASSETS TARGET INCOME - A2 USD (C) | 2025/26 | 26.6.2025 | 68.6300 | 0.81% | 2.45% | 5.76% |
AMUNDI FUNDS PIONEER US EQUITY RESEARCH - A EUR (C) | 2025/26 | 26.6.2025 | 20.4500 | 2.10% | 2.45% | 2.56% |
AMUNDI FUNDS JAPAN EQUITY VALUE - A2 JPY (C) | 2025/26 | 24.6.2025 | 20224.0000 | 0.13% | 2.44% | 5.23% |
Generali Fond ropy a energetiky – Třída D | 2025/26 | 24.6.2025 | 1.0424 | -2.10% | 2.44% | -1.93% |
CPR Hydrogen | 2025/26 | 24.6.2025 | 11122.8700 | 1.93% | 2.43% | 12.42% |
J&T Realitních akcií a dluhopisů otevřený podílový fond | 2025/26 | 24.6.2025 | 1.2440 | -0.13% | 2.43% | - |
Naše ČESKO otevřený podílový fond | 2025/22 | 31.5.2025 | 131.8301 | - | 2.41% | - |
AMUNDI FUNDS LATIN AMERICA EQUITY - A USD (C) | 2025/26 | 24.6.2025 | 572.5400 | 0.78% | 2.38% | 14.40% |
Fond ropy a energetiky, otevřený podílový fond Generali Investments CEE, investiční společnost | 2025/26 | 24.6.2025 | 1.8347 | -2.12% | 2.37% | -2.54% |
AMUNDI INDEX MSCI NORTH AMERICA - AE (C) | 2025/26 | 24.6.2025 | 714.8800 | 1.32% | 2.33% | 3.68% |
KBC EQUITY FUND NEW ASIA | 2025/26 | 24.6.2025 | 1044.9900 | 1.65% | 2.24% | -0.04% |
KBI Global Sustainable Infrastructure Fund | 2025/26 | 24.6.2025 | 10.0620 | 0.96% | 2.18% | 0.58% |
AMUNDI FUNDS GLOBAL EQUITY ESG IMPROVERS - A2 USD (C) | 2025/26 | 26.6.2025 | 65.6600 | 2.07% | 2.15% | 9.93% |
J&T RENTIER A1 | 2025/23 | 6.6.2025 | 1.6047 | 0.72% | 2.15% | 9.32% |
J&T RENTIER D1 | 2025/23 | 6.6.2025 | 1.3040 | 0.72% | 2.15% | 4.73% |
Amundi MSCI AC Asia Pacific Ex Japan UCITS ETF Acc | 2025/26 | 26.6.2025 | 70.7804 | 1.90% | 2.14% | - |
AMUNDI FUNDS EMERGING MARKETS EQUITY FOCUS - A EUR (C) | 2025/26 | 26.6.2025 | 165.6600 | 1.51% | 2.13% | 1.91% |
KBC Equity Fund ČSOB Akciový dividendových firem (dividendová třída) | 2025/26 | 24.6.2025 | 1964.1100 | 1.01% | 2.12% | 5.24% |
ČSOB Akciový fond dividendových firem | 2025/26 | 24.6.2025 | 2597.6500 | 1.01% | 2.12% | 8.21% |
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