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 30.12.2025 1.847.710.604,84 15.753.190,39 1.668,62011 14,22630 0.27%
WVP DYNAMIC 30.12.2025 1.023.598.920,40 8.726.988,22 1.393,99796 11,88493 -0.06%
WVP BALANCED 30.12.2025 539.187.533,30 4.596.999,04 1.332,16903 11,35779 0.00%
WVP CASH 30.12.2025 646.107.737,32 5.508.578,11 1.239,05235 10,56390 0.01%
MERKUR ESG FUND BALANCED 30.12.2025 145.889.000,92 1.243.818,81 1.374,31717 11,71714 0.20%
MERKUR ESG FUND DYNAMIC 30.12.2025 171.062.786,76 1.458.445,19 1.597,42586 13,61932 0.37%
MERKUR ESG FUND SOLID 30.12.2025 120.474.140,00 1.027.137,07 1.216,61500 10,37260 0.07%
WVP BOND 30.12.2025 1.138.595.766,37 9.707.427,04 1.513,82800 12,90658 0.09%