INDEX - Fix 143
ISIN: SK4120007287
Vývoj fondu
| Obdobie | Hodnota |
|---|---|
| August 2010 | 0.95 |
| December 2010 | 0.833381 |
| May 2011 | 0.876071 |
| September 2011 | 0.832352 |
| January 2012 | 0.771289 |
| June 2012 | 0.919859 |
| October 2012 | 1.024544 |
| March 2013 | 1.08294 |
| July 2013 | 1.14492 |
| December 2013 | 1.195117 |
| April 2014 | 1.239985 |
| September 2014 | 1.239216 |
| January 2015 | 1.187122 |
| June 2015 | 1.23581 |
| October 2015 | 1.2805819999999999 |
| February 2016 | 1.288725 |
| July 2016 | 1.2791350000000001 |
| November 2016 | 1.33466 |
| March 2017 | 1.348007 |
| August 2017 | 1.390135 |
| December 2017 | 1.424615 |
| May 2018 | 1.424181 |
| September 2018 | 1.41305 |
| February 2019 | 1.425306 |
| June 2019 | 1.4301249999999999 |
| November 2019 | 1.433019 |
| March 2020 | 1.431001 |
| July 2020 | 1.43 |
| September 2021 | 0 |
| February 2022 | 0 |
| February 2023 | 0 |