Fond |
Datum |
Neto vrednost imovine fonda (RSD) |
Neto vrednost imovine fonda (EUR) |
Cena investicione jedinice (RSD) |
Cena investicione jedinice (EUR) |
Dnevna promena |
WVP PREMIUM |
21.05.2025 |
1.372.941.972,19 |
11.710.195,57 |
1.516,58379 |
12,93536 |
-0.67% |
WVP DYNAMIC |
21.05.2025 |
798.051.732,77 |
6.806.800,32 |
1.205,70654 |
10,28380 |
-1.17% |
WVP BALANCED |
21.05.2025 |
436.194.273,40 |
3.720.419,62 |
1.205,70624 |
10,28380 |
-0.73% |
WVP CASH |
21.05.2025 |
615.738.499,58 |
5.251.801,17 |
1.212,52554 |
10,34196 |
0.01% |
MERKUR ESG FUND BALANCED |
21.05.2025 |
131.387.148,34 |
1.120.636,73 |
1.301,02366 |
11,09678 |
-0.12% |
MERKUR ESG FUND DYNAMIC |
21.05.2025 |
149.551.643,08 |
1.275.566,65 |
1.446,05012 |
12,33375 |
-0.40% |
MERKUR ESG FUND SOLID |
21.05.2025 |
118.185.345,77 |
1.008.034,96 |
1.193,50148 |
10,17970 |
-0.05% |
WVP BOND |
21.05.2025 |
1.080.110.871,94 |
9.212.559,45 |
1.436,06900 |
12,24862 |
-0.31% |