Fond |
Datum |
Neto vrednost imovine fonda (RSD) |
Neto vrednost imovine fonda (EUR) |
Cena investicione jedinice (RSD) |
Cena investicione jedinice (EUR) |
Dnevna promena |
WVP PREMIUM |
16.10.2025 |
1.638.641.227,03 |
13.983.859,37 |
1.628,22930 |
13,89501 |
0.19% |
WVP DYNAMIC |
16.10.2025 |
946.650.971,48 |
8.078.543,27 |
1.348,42996 |
11,50725 |
-0.30% |
WVP BALANCED |
16.10.2025 |
505.636.912,76 |
4.315.011,34 |
1.304,03593 |
11,12840 |
-0.13% |
WVP CASH |
16.10.2025 |
696.648.026,94 |
5.945.064,66 |
1.230,38993 |
10,49992 |
0.01% |
MERKUR ESG FUND BALANCED |
16.10.2025 |
137.971.528,84 |
1.177.423,36 |
1.354,33187 |
11,55762 |
-0.20% |
MERKUR ESG FUND DYNAMIC |
16.10.2025 |
160.129.703,58 |
1.366.517,10 |
1.548,59185 |
13,21539 |
-0.31% |
MERKUR ESG FUND SOLID |
16.10.2025 |
120.749.028,59 |
1.030.449,75 |
1.219,39097 |
10,40606 |
0.05% |
WVP BOND |
16.10.2025 |
1.140.661.990,76 |
9.734.197,22 |
1.516,57517 |
12,94217 |
0.08% |