Amundi Funds - Strategic Bond A EUR AD (D) (OFAMUFSBAEAD)

Ročná výkonnosť: -4,00 %
 
Predaje a odkupy
  
Týždeň od Predaje (€) Odkupy (€) Čisté predaje (€) Čisté predaje v % imania
6.1.-10.1.20250000,00%
13.1.-17.1.20250000,00%
20.1.-24.1.2025022 162-22 162-0,35%
27.1.-31.1.20250000,00%
3.2.-7.2.20250000,00%
10.2.-14.2.20250000,00%
17.2.-21.2.202505 965-5 965-0,09%
24.2.-28.2.20250000,00%
3.3.-7.3.20250000,00%
10.3.-14.3.20250000,00%
17.3.-21.3.2025045 000-45 000-0,71%
24.3.-28.3.20250000,00%
31.3.-4.4.202507 621-7 621-0,13%
7.4.-11.4.20250000,00%
14.4.-18.4.20254 92651 008-46 082-0,76%
21.4.-25.4.20250000,00%
28.4.-2.5.20250000,00%
5.5.-9.5.20250000,00%
12.5.-16.5.20251 9613 662-1 702-0,03%
19.5.-23.5.202598009800,02%
26.5.-30.5.20250000,00%
2.6.-6.6.20250000,00%
9.6.-13.6.20250000,00%
16.6.-20.6.20250000,00%
23.6.-27.6.20250000,00%
30.6.-4.7.202507 000-7 000-0,11%
7.7.-11.7.20250000,00%
14.7.-18.7.20250000,00%
21.7.-25.7.20250000,00%
28.7.-1.8.20250000,00%
4.8.-8.8.202503 846-3 846-0,06%
11.8.-15.8.20250000,00%
18.8.-22.8.20250000,00%
25.8.-29.8.20250000,00%
1.9.-5.9.20250104 488-104 488-1,72%
8.9.-12.9.20250000,00%
15.9.-19.9.20250000,00%
22.9.-26.9.202598014 016-13 036-0,23%
29.9.-3.10.2025018 499-18 499-0,33%
6.10.-10.10.202506 883-6 883-0,12%
13.10.-17.10.20250000,00%
20.10.-24.10.2025016 428-16 428-0,30%
27.10.-31.10.20250000,00%
3.11.-7.11.20250000,00%
10.11.-14.11.20259807 278-6 298-0,11%
17.11.-21.11.20250000,00%
24.11.-28.11.202503 598-3 598-0,06%
1.12.-5.12.20250000,00%
Spolu9 828 €317 456 €-307 628-5,10%