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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 |
20.01.2025 |
688.009.504,71
|
5.875.812,86 | 1.196,65613 | 10,21981 |
0,01%▲ |
WVP PREMIUM |
20.01.2025 |
1.207.151.496,84
|
10.308.802,52 | 1.510,96490 | 12,90411 |
-0,06%▼ |
WVP DYNAMIC |
20.01.2025 |
735.300.294,93
|
6.279.690,76 | 1.247,37766 | 10,65299 |
-0,02%▼ |
WVP BALANCED |
20.01.2025 |
424.596.173,69
|
3.626.181,97 | 1.247,13512 | 10,65092 | -0,03%▼ |
Merkur sustainable fund balanced |
20.01.2025 |
131.086.692,67
|
1.119.520,69 | 1.298,53309 | 11,08987 |
0,03%▲ |
Merkur sustainable fund dynamic |
20.01.2025 |
150.118.012,12
|
1.282.054,01 | 1.475,97158 | 12,60525 | -0,01%▼ |
Merkur sustainable fund solid |
20.01.2025 |
117.240.713,10
|
1.001.271,76 | 1.183,96205 | 10,11140 | 0,03%▲ |
WVP BOND |
20.01.2025 |
1.090.867.533,70
|
9.316.344,39 | 1.450,37060 | 12,38661 | 0,10%▲ |