Dnevni pregled

Fond Datum Neto vrednost imovine fonda (RSD) Neto vrednost imovine fonda (EUR) Cena investicione jedinice (RSD) Cena investicione jedinice (EUR) Dnevna promena
WVP PREMIUM 05.12.2025 1.763.138.030,55 15.020.030,71 1.656,71408 14,11341 0.20%
WVP DYNAMIC 05.12.2025 986.414.164,80 8.403.182,73 1.378,32215 11,74182 0.05%
WVP BALANCED 05.12.2025 519.857.444,52 4.428.623,65 1.322,32815 11,26481 0.11%
WVP CASH 05.12.2025 714.878.497,15 6.089.992,27 1.236,16137 10,53076 0.01%
MERKUR ESG FUND BALANCED 05.12.2025 139.662.345,37 1.189.772,06 1.370,92897 11,67883 -0.04%
MERKUR ESG FUND DYNAMIC 05.12.2025 163.939.039,95 1.396.583,23 1.585,43141 13,50616 0.07%
MERKUR ESG FUND SOLID 05.12.2025 120.758.838,05 1.028.734,63 1.219,49003 10,38874 -0.02%
WVP BOND 05.12.2025 1.146.737.048,32 9.768.958,84 1.524,65230 12,98839 -0.04%