Fond |
Datum |
Neto vrednost imovine fonda (RSD) |
Neto vrednost imovine fonda (EUR) |
Cena investicione jedinice (RSD) |
Cena investicione jedinice (EUR) |
Dnevna promena |
WVP PREMIUM |
10.07.2025 |
1.465.089.521,35 |
12.502.524,00 |
1.550,11854 |
13,22813 |
0.41% |
WVP DYNAMIC |
10.07.2025 |
843.268.857,95 |
7.196.139,88 |
1.240,44640 |
10,58550 |
0.20% |
WVP BALANCED |
10.07.2025 |
463.258.921,69 |
3.953.277,74 |
1.241,13982 |
10,59142 |
0.44% |
WVP CASH |
10.07.2025 |
649.543.283,01 |
5.542.958,55 |
1.218,65306 |
10,39953 |
0.01% |
MERKUR ESG FUND BALANCED |
10.07.2025 |
132.814.761,00 |
1.133.391,31 |
1.303,58431 |
11,12430 |
0.09% |
MERKUR ESG FUND DYNAMIC |
10.07.2025 |
150.193.747,60 |
1.281.697,06 |
1.452,54453 |
12,39547 |
0.38% |
MERKUR ESG FUND SOLID |
10.07.2025 |
119.295.851,12 |
1.018.026,01 |
1.204,71598 |
10,28059 |
-0.04% |
WVP BOND |
10.07.2025 |
1.118.954.101,44 |
9.548.734,26 |
1.487,71329 |
12,69559 |
0.05% |