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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 |
18.10.2024 |
529.742.704,69
|
4.526.945,46 | 1.184,02177 | 10,11812 |
0,01%▲ |
WVP PREMIUM |
18.10.2024 |
1.116.007.008,48
|
9.536.899,35 | 1.478,24349 | 12,63241 | 0,36%▲ |
WVP DYNAMIC |
18.10.2024 |
679.825.197,79
|
5.809.438,99 | 1.231,00053 | 10,51958 |
0,33%▲ |
WVP BALANCED |
18.10.2024 |
402.104.390,20
|
3.436.205,21 | 1.232,73058 | 10,53437 | 0,30%▲ |
Merkur sustainable fund balanced |
18.10.2024 |
129.856.666,53
|
1.109.697,30 | 1.286,34856 | 10,99256 |
0,09%▲ |
Merkur sustainable fund dynamic |
18.10.2024 |
145.381.276,59
|
1.242.363,71 | 1.429,39964 | 12,21501 | -0,05%▼ |
Merkur sustainable fund solid |
18.10.2024 |
117.562.911,14
|
1.004.640,33 | 1.187,21578 | 10,14542 | 0,17%▲ |
WVP BOND |
18.10.2024 |
1.088.123.493,13
|
9.298.619,24 | 1.446,72224 | 12,36304 | 0,21%▲ |