INDEX - Fix 158
ISIN: SK4120008442
Vývoj fondu
| Obdobie | Hodnota |
|---|---|
| June 2012 | 0.95 |
| October 2012 | 1.03155 |
| February 2013 | 1.080523 |
| June 2013 | 1.171815 |
| October 2013 | 1.151577 |
| February 2014 | 1.229647 |
| June 2014 | 1.285248 |
| October 2014 | 1.19718 |
| February 2015 | 1.1528990000000001 |
| June 2015 | 1.219923 |
| October 2015 | 1.284342 |
| February 2016 | 1.386709 |
| June 2016 | 1.347393 |
| October 2016 | 1.4052259999999999 |
| February 2017 | 1.390538 |
| June 2017 | 1.430085 |
| October 2017 | 1.482761 |
| February 2018 | 1.518431 |
| June 2018 | 1.50234 |
| October 2018 | 1.5063499999999999 |
| February 2019 | 1.543813 |
| June 2019 | 1.565937 |
| October 2019 | 1.572125 |
| February 2020 | 1.5781589999999999 |
| June 2020 | 1.558665 |
| October 2020 | 1.573985 |
| February 2021 | 1.581505 |
| June 2021 | 1.584956 |
| October 2021 | 1.584052 |
| February 2023 | 1.5819860000000001 |