Českomoravský fond SICAV Podfond DOMUS, performance statistic

ISIN CP: CZ0008044179
Českomoravský fond SICAV Podfond DOMUS, souhrn dat
 
Year / week date
publishing
NAV TNA rate change
week
change
month
change
year
 2022 / 45 10/31/2022 358.4 million CZK 383.7 million CZK 14.4639 - 0.43% 7.71% 
 2022 / 40 09/30/2022 360.5 million CZK 374.2 million CZK 14.4013 - 0.61% 7.70% 
 2022 / 36 08/31/2022 356.2 million CZK 369.3 million CZK 14.3136 - 0.43% 7.91% 
 2022 / 32 07/31/2022 354.3 million CZK 365.8 million CZK 14.2524 - 0.43% 7.91% 
 2022 / 27 06/30/2022 352.5 million CZK 360.9 million CZK 14.1918 - 1.64% 7.90% 
 2022 / 23 05/31/2022 287.2 million CZK 337.9 million CZK 13.9633 - 0.42% 7.16% 
 2022 / 18 04/30/2022 274.8 million CZK 336.0 million CZK 13.9043 - 0.41% 7.18% 
 2022 / 14 03/31/2022 273.4 million CZK 321.4 million CZK 13.8474 - 1.07% 7.20% 
 2022 / 10 02/28/2022 267.0 million CZK 280.6 million CZK 13.7013 - - 7.22% 
 2022 / 6 01/31/2022 265.8 million CZK 292.0 million CZK 13.6490 - 0.42% 7.27% 
 2021 / 53 12/31/2021 264.4 million CZK 286.4 million CZK 13.5913 - 0.80% 7.32% 
 2021 / 49 11/30/2021 244.8 million CZK 281.2 million CZK 13.4832 - - 8.59% 
 2021 / 45 10/31/2021 243.5 million CZK 253.1 million CZK 13.4280 - 0.42% 8.92% 
 2021 / 40 09/30/2021 242.2 million CZK 247.2 million CZK 13.3712 - 0.81% 9.04% 
 2021 / 36 08/31/2021 232.0 million CZK 240.8 million CZK 13.2641 - 0.42% 9.49% 
 2021 / 31 07/31/2021 225.0 million CZK 232.0 million CZK 13.2080 - 0.42% 9.90% 
 2021 / 27 06/30/2021 223.7 million CZK 231.7 million CZK 13.1522 - 0.94% 10.32% 
 2021 / 23 05/31/2021 220.4 million CZK 227.2 million CZK 13.0303 - 0.45% 9.30% 
 2021 / 18 04/30/2021 213.6 million CZK 226.3 million CZK 12.9724 - 0.43% 11.87% 
 2021 / 14 03/31/2021 212.4 million CZK 223.0 million CZK 12.9175 - 1.09% 13.10% 

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: June 4, 2026, 8:57 a.m.
London time: June 4, 2026, 8:57 a.m.
NY time: June 4, 2026, 3:57 a.m.
Tokyo time: June 4, 2026, 4:57 p.m.


 
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