About the fund

VIG Hungarian Index Tracker Equity Subfund


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Date - 28/03/2025

VIG Funds Series Start Risk Recommended Time ISIN Code Change Price
Hungarian Index Tracker B series HUF 09/11/2021 5 4 years HU0000727474 -1.385% 1.480
Hungarian Index Tracker R series HUF 09/11/2021 5 4 years HU0000727482 -1.381% 1.536
Hungarian Index Tracker UI series USD 03/05/2024 5 4 years HU0000735022 -1.905% 1.300
Hungarian Index Tracker EI series EUR 03/05/2024 5 4 years HU0000735014 -1.923% 1.297

Date - 28/03/2025

VIG Funds YTD 1 month 3 months 6 months 12 months 3 years 5 years 10 years From beginning
Hungarian Index Tracker B series 14.957% 2.751% 14.957% 22.468% 37.441% 61.179% - - 47.954%
Hungarian Index Tracker R series 15.327% 2.846% 15.327% 23.276% 39.306% 66.694% - - 53.612%
Hungarian Index Tracker UI series 21.419% 6.049% 21.419% 17.945% - - - - 30.016%
Hungarian Index Tracker EI series 17.428% 2.654% 17.428% 21.558% - - - - 29.655%

Date - 28/03/2025

VIG Funds 12 months Year 2024 Year 2023 Year 2022
Hungarian Index Tracker B series Investment Ticket 37.44% 24.87% 16.74% -11.47%
Hungarian Index Tracker R series Investment Ticket 39.31% 26.49% 17.91% -10.58%
Hungarian Index Tracker UI series Investment Ticket 0.00%
Hungarian Index Tracker EI series Investment Ticket 0.00%

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