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Datum vrednovanja | Neto vrednost imovine fonda (RSD) | Neto vrednost imovine fonda (EUR) | Vrednost investicione jedinice (RSD) | Vrednost investicione jedinice (EUR) | Dnevna promena (%) |
WVP CASH |
10.02.2025 |
817.291.342,91
|
6.982.537,43 | 1.199,44208 | 10,24745 |
0,01%▲ |
WVP PREMIUM |
10.02.2025 |
1.263.034.228,91
|
10.790.746,60 | 1.559,77556 | 13,32596 |
0,67%▲ |
WVP DYNAMIC |
10.02.2025 |
767.788.091,41
|
6.559.605,87 | 1.284,96244 | 10,97809 |
0,96%▲ |
WVP BALANCED |
10.02.2025 |
441.077.418,40
|
3.768.349,70 | 1.276,29887 | 10,90407 | 0,43%▲ |
Merkur sustainable fund balanced |
10.02.2025 |
133.724.554,08 | 1.142.477,17 | 1.324,66351 | 11,31728 |
0,02%▲ |
Merkur sustainable fund dynamic |
10.02.2025 |
153.200.095,07
|
1.308.866,67 | 1.506,27485 | 12,86888 | 0,11%▲ |
Merkur sustainable fund solid |
10.02.2025 |
118.641.441,02
|
1.013.614,43 | 1.198,10738 | 10,23604 | 0,08%▲ |
WVP BOND |
10.02.2025 |
1.100.759.047,92
|
9.404.346,84 | 1.463,52193 | 12,50362 | 0,06%▲ |