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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 |
06.01.2025 |
558.321.700,17
|
4.767.274,19 | 1.194,78323 | 10,20175 |
0,01%▲ |
WVP PREMIUM |
06.01.2025 |
1.180.325.024,25
|
10.078.298,98 | 1.482,14733 | 12,65543 |
0,91%▲ |
WVP DYNAMIC |
06.01.2025 |
730.365.567,99
|
6.236.284,42 | 1.243,24538 | 10,61555 |
0,78%▲ |
WVP BALANCED |
06.01.2025 |
423.195.146,65
|
3.613.485,38 | 1.243,71368 | 10,61955 | 0,55%▲ |
Merkur sustainable fund balanced |
06.01.2025 |
130.854.047,70
|
1.117.307,68 | 1.296,22853 | 11,06795 |
0,02%▲ |
Merkur sustainable fund dynamic |
06.01.2025 |
149.274.184,70
|
1.274.589,48 | 1.467,67500 | 12,53186 | 0,44%▲ |
Merkur sustainable fund solid |
06.01.2025 |
117.486.857,99
|
1.003.170,87 | 1.186,44776 | 10,13058 | 0,01%▲ |
WVP BOND |
06.01.2025 |
1.091.641.305,86
|
9.321.066,01 | 1.451,39937 | 12,39289 | 0,29%▲ |