VYVÁŽENÝ MIX - otevřený podílový fond, Statistic entire table

ISIN CP: CZ0008472339
VYVÁŽENÝ MIX - otevřený podílový fond, 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
Nov. 18, 2009, midnight 1.1303 2 314 045 203.0000 370 285.0000 0.22% - -0.11% - 19.10% 13.46% -
Nov. 11, 2009, midnight 1.1278 2 313 517 391.0000 10 438 795.3000 12 141 049.8000 1 702 254.5000 10 772 062 1 524 211 0.80% -0.22% 4.58% 11.83% - - -0.56%
Nov. 4, 2009, midnight 1.1188 2 284 662 312.0000 -4 092 923.0000 1 659 696.4000 5 752 619.4000 1 490 233 5 138 533 -0.40% 0.41% 3.92% 10.67% - - -0.64%
Oct. 28, 2009, midnight 1.1233 2 298 011 871.0000 -5 972 703.7000 2 706 506.1000 8 679 209.8000 2 394 233 7 670 494 -1.05% 2.57% 5.72% 13.54% - - -0.60%
Oct. 21, 2009, midnight 1.1352 2 328 398 548.0000 70 442.6000 5 136 773.8000 5 066 331.2000 4 544 164 4 484 603 0.43% 3.36% 7.73% 16.42% - - -0.49%
Oct. 14, 2009, midnight 1.1303 2 318 109 422.0000 -2 632 155.1000 4 192 144.6000 6 824 299.7000 3 747 321 6 124 783 1.44% 2.34% 9.13% 15.63% - - -0.54%
Oct. 7, 2009, midnight 1.1142 2 287 718 133.0000 -4 386 376.9000 1 823 192.3000 6 209 569.2000 1 654 249 5 649 675 1.73% 1.63% 9.86% 15.46% - - -0.69%
Sept. 30, 2009, midnight 1.0952 2 253 197 819.0000 - 843 271.2000 2 045 595.5000 2 888 866.7000 1 860 478 2 625 376 -0.28% 1.50% 7.15% 14.38% - - -0.87%
Sept. 23, 2009, midnight 1.0983 2 260 387 912.0000 -1 201 096.7000 4 146 475.4000 5 347 572.1000 3 754 967 4 843 972 -0.56% 0.98% 7.40% 15.07% - - -0.84%
Sept. 16, 2009, midnight 1.1045 2 274 283 130.0000 55 803.7000 4 209 827.9000 4 154 024.2000 3 832 446 3 789 455 0.75% 2.61% 8.09% 18.75% - - -0.79%
Sept. 9, 2009, midnight 1.0963 2 257 465 028.0000 -3 162 368.2000 1 332 138.1000 4 494 506.3000 1 228 227 4 141 848 1.60% 1.66% 5.55% 20.22% - - -0.87%
Sept. 2, 2009, midnight 1.0790 2 225 025 495.0000 -52 630.6000 2 279 116.8000 2 331 747.4000 2 103 108 2 150 843 -0.79% 0.22% 4.37% 21.05% - - -1.04%
Aug. 26, 2009, midnight 1.0876 2 242 831 132.0000 -5 358 540.7000 3 290 498.6000 8 649 039.3000 3 037 963 8 009 316 1.04% 2.36% 6.25% 17.85% - - -0.96%
Aug. 19, 2009, midnight 1.0764 2 225 008 817.0000 -1 398 863.8000 3 324 862.7000 4 723 726.5000 3 098 688 4 403 410 -0.19% 2.15% 5.60% 15.06% - - -1.07%
Aug. 12, 2009, midnight 1.0784 2 230 572 950.0000 -2 465 169.2000 2 226 953.7000 4 692 122.9000 2 070 506 4 364 678 0.17% 4.12% 6.93% 11.67% - - -1.05%
Aug. 5, 2009, midnight 1.0766 2 229 206 031.0000 -2 675 758.4000 1 582 241.9000 4 258 000.3000 1 476 791 3 992 404 1.33% 6.15% 6.50% 11.04% - - -1.07%
July 29, 2009, midnight 1.0625 2 202 747 003.0000 -1 065 810.3000 2 578 538.2000 3 644 348.5000 2 442 089 3 457 511 0.84% 3.95% 7.40% 9.48% - - -1.21%
July 22, 2009, midnight 1.0537 2 185 659 594.0000 -1 626 979.3000 3 755 852.4000 5 382 831.7000 3 606 574 5 185 231 1.74% 3.04% 8.06% 9.21% - - -1.30%
July 15, 2009, midnight 1.0357 2 149 817 133.0000 -1 022 373.2000 3 427 825.6000 4 450 198.8000 3 345 416 4 386 381 2.12% 1.36% 5.95% 5.96% - - -1.49%
July 8, 2009, midnight 1.0142 2 106 297 435.0000 -3 265 030.2000 1 090 956.9000 4 355 987.1000 1 071 725 4 263 183 -0.77% -2.36% 5.10% 0.93% - - -1.72%
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 VYVÁŽENÝ MIX - otevřený podílový fond

Graph of purchase and sale

Graph of purchase and sale VYVÁŽENÝ MIX - otevřený podílový fond
 Graph of purchase and sale, net weekly sales, from   to  
Time: Aug. 22, 2025, 7:15 p.m.
London time: Aug. 22, 2025, 7:15 p.m.
NY time: Aug. 22, 2025, 2:15 p.m.
Tokyo time: Aug. 23, 2025, 3:15 a.m.


 
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