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Datum vrednovanja | Neto vrednost imovine fonda (RSD) | Neto vrednost imovine fonda (EUR) | Vrednost investicione jedinice (RSD) | Vrednost investicione jedinice (EUR) | Dnevna promena (%) |
WVP CASH |
16.01.2025 |
687.701.312,66
|
5.872.288,12 | 1.196,12705 | 10,21374 |
0,01%▲ |
WVP PREMIUM |
16.01.2025 |
1.193.019.082,83
|
10.187.201,41 | 1.501,48762 | 12,82122 |
0,91%▲ |
WVP DYNAMIC |
16.01.2025 |
727.219.324,77
|
6.209.732,80 | 1.242,62083 | 10,61075 |
0,63%▲ |
WVP BALANCED |
16.01.2025 |
423.243.012,78
|
3.614.076,15 | 1.243,25132 | 10,61613 | 0,35%▲ |
Merkur sustainable fund balanced |
16.01.2025 |
129.836.838,32
|
1.108.678,01 | 1.286,15215 | 10,98247 |
-0,15%▼ |
Merkur sustainable fund dynamic |
16.01.2025 |
148.229.485,34
|
1.265.733,00 | 1.457,40344 | 12,44478 | -0,07%▼ |
Merkur sustainable fund solid |
16.01.2025 |
116.847.223,39
|
997.543,21 | 1.179,98837 | 10,07375 | 0,08%▲ |
WVP BOND |
16.01.2025 |
1.088.736.579,41
|
9.296.732,12 | 1.447,53737 | 12,36054 | 0,24%▲ |