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ACTIVA ASSET MANAGEMENT AD


Activa Balanced ETF
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2007-11-12
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-0.89 % -7.19 % 5.04 % 4.47 % 25056276.52 EUR 1.3155 EUR 2026-01-19
Notes
ACTIVA High Yield Fund
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2007-11-12
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-0.49 % -8.23 % 5.49 % 4.71 % 33019429.35 EUR 1.0722 EUR 2026-01-19
Notes
NMF Activa
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2020-12-22
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
3.94 % 5.06 % 11.12 % 5.78 % 22571443.13 EUR 0.6547 EUR 2026-01-16
Notes
ACTIVA EUROPEAN STRATEGY FUND
Type: Equity Europe | Currency: EUR | Date of Public Offering: 2024-08-15
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
3.16 % 3.23 % 9.86 % 17.11 % 303686.33 EUR 1.0464 EUR 2026-01-19
Notes

ALARIC CAPITAL ЕAD


DF Alaric-Hybrid Deposit
Type: Bond Government FD EUR | Currency: EUR | Date of Public Offering: 2008-09-23
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-0.38 % 1.82 % 7.45 % 4 % 1855960.04 EUR 11.9129 EUR 2026-01-21
Notes
https://alaric.bg/hybrid-deposit-fund/

ASTRA ASSET MANAGEMENT AD


Astra Cash Plus
Type: Bond Ultra Short BGN | Currency: EUR | Date of Public Offering: 2018-07-27
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.41 % 1.28 % 7.13 % 4.38 % 8653973.5 EUR 6.3759 EUR 2026-01-20
Astra Global Equity
Type: Equity Global | Currency: EUR | Date of Public Offering: 2019-11-25
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
3.14 % -0.44 % 23.51 % 12.29 % 449585.42 EUR 9.5049 EUR 2026-01-20

CAPMAN ASSET MANAGEMENT AD


Capman Fix
Type: Bond Aggregate High Yield UD | Currency: EUR | Date of Public Offering: 2010-06-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.36 % 3.09 % 3.6 % 3.04 % 8055483.83 EUR 8.2257 EUR 2026-01-20
Notes
www.capman.bg
Capman Capital
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2004-09-28
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
Notes
Capman Max
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2006-01-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
7.4 % 2.08 % 9.48 % 4.59 % 8995347.58 EUR 7.718 EUR 2026-01-20
Notes
Mutual Fund C-MIX
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2016-07-21
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
5.36 % 5.16 % 7.18 % 12.52 % 26880441.96 EUR 8.2516 EUR 2026-01-20
Notes
www.capman.bg
Mutual Fund C-BONDS
Type: Bond Aggregate High Yield UD | Currency: EUR | Date of Public Offering: 2016-07-21
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.89 % 3.05 % 4.04 % 2.69 % 2109184.95 EUR 6.8042 EUR 2026-01-20
Notes
www.capman.bg
National Investment Fund "Capman G-7 & Hong Kong"
Type: Equity Global Advanced Markets | Currency: EUR | Date of Public Offering: 2023-04-04
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.71 % 11.74 % 12.41 % 15.29 % 973868.08 EUR 6.9753 EUR 2026-01-19
Notes
https://capman.bg/asset-management/mutual-funds/capman-g7honkong/

CCB ASSET MANAGEMENT EAD


CCB Leader
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2007-06-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.63 % -3.58 % n/a 0 % 16001775.52 EUR 5.0624 EUR 2026-01-20
CCB Active
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2007-06-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.79 % -2.56 % n/a 0 % 16189587.89 EUR 6.1701 EUR 2026-01-20
CCB Garant
Type: Bond Aggregate UD | Currency: EUR | Date of Public Offering: 2007-09-04
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.19 % -0.2 % n/a 0 % 1312039.83 EUR 9.6357 EUR 2026-01-20
CCB Private
Type: Equity Global | Currency: EUR | Date of Public Offering: 2020-06-22
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-0.07 % -8.8 % n/a 0 % 1696509.28 EUR 0.598 EUR 2026-01-20

COMPASS INVEST AD


Compass Progress
Type: Equity Global | Currency: EUR | Date of Public Offering: 2007-05-02
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
4.82 % -4.76 % 13.17 % 9.21 % 43864838.89 EUR 0.2057 EUR 2026-01-20
Notes
Compass Strategy
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2007-05-02
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
5.99 % -0.42 % 13.25 % 9.81 % 16877986.83 EUR 0.4724 EUR 2026-01-20
Notes
Compas Eurostability
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2007-05-02
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
3.04 % 1.67 % 8.95 % 4.03 % 6450144.89 EUR 1.3612 EUR 2026-01-20
Notes
Compass Global Trends
Type: Equity Global | Currency: EUR | Date of Public Offering: 2014-04-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-1.36 % 6.16 % 2.84 % 18.52 % 1917591.75 EUR 1.0357 EUR 2026-01-20
Notes
www.compass-invest.eu
ACTIVE EURO DEPOSIT
Type: Bond Aggregate High Yield UD EUR | Currency: EUR | Date of Public Offering: 2018-07-16
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.52 % -0.34 % 5.62 % 1.93 % 2838388.69 EUR 0.9749 EUR 2026-01-20
Notes
http://www.compass-invest.eu/
Compass Funds Select-21
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2018-07-16
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.36 % 2.09 % 3.06 % 8.21 % 679648.35 EUR 0.5973 EUR 2026-01-20
Notes
http://www.compass-invest.eu/

CONCORD ASSET MANAGEMENT AD


Concord Fund – 1 Stocks and Bonds
Type: Mixed Allocation – Balanced | Currency: EUR | Date of Public Offering: 2005-12-14
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.42 % 3.81 % 3.86 % 1.65 % 16067664.01 EUR 10.8336 EUR 2026-01-21
Notes
Concord Fund 2 Equity
Type: Equity – Bulgaria / Regional | Currency: EUR | Date of Public Offering: 2006-03-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.83 % 1.04 % 3.61 % 1.98 % 49728425.28 EUR 6.1031 EUR 2026-01-21
Notes
Concord Fund – 3 Real Estate
Type: Real Estate – Direct / Indirect. | Currency: EUR | Date of Public Offering: 2006-06-21
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-2.21 % -1.69 % 8.4 % 6.96 % 546997.62 EUR 3.652 EUR 2026-01-21
Notes
Concord Fund 4 Energy
Type: Equity – Sector (Energy) | Currency: EUR | Date of Public Offering: 2008-02-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.64 % 0.15 % -0.82 % 11.54 % 401537.36 EUR 5.2349 EUR 2026-01-20
Notes
Concord Fund 5 Central and Eastern Europe
Type: Bond – Global / EUR / Multi-Sector | Currency: EUR | Date of Public Offering: 2008-02-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.19 % -0.77 % 5.5 % 4.51 % 1005678.71 EUR 4.4032 EUR 2026-01-21
Notes
Concord Fund-6 Bonds
Type: Equity – Regional (CEE) | Currency: EUR | Date of Public Offering: 2008-06-03
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.47 % 3.44 % 3.1 % 2.35 % 16005749.74 EUR 9.2945 EUR 2026-01-21
Notes
Concord Fund - 7 South East Europe
Type: Equity – Regional (SEE) | Currency: EUR | Date of Public Offering: 2016-04-06
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 4.78 % 44263404.67 EUR 7.0421 EUR 2026-01-16
Notes
http://concord-am.bg/vzaimni-fondove/concord-fond-7/
Concord Fund 8 – Alternative Investment Fund
Type: Alternative – Other | Currency: EUR | Date of Public Offering: 2022-11-11
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 7.03 % 66569838.83 EUR 530.4996 EUR 2026-01-20
Notes
https://concord-am.bg/vzaimni-fondove/concord-fond-8/
Concord Fund - 9 Green
Type: Other (Infrastructure / Real Assets) | Currency: EUR | Date of Public Offering: 2025-06-06
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 0 % 731930.05 EUR 568.7323 EUR 2026-01-20
Notes
https://concord-am.bg/vzaimni-fondove/concord-fond-9/

DSK ASSET MANAGEMENT AD


DSK Standard
Type: Bond Aggregate FD | Currency: EUR | Date of Public Offering: 2005-12-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.2 % 2.57 % 4.16 % 1.74 % 44529345.31 EUR 0.8524 EUR 2026-01-19
Notes
DSK Balance
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2005-12-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
Notes
DSK Growth
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2006-03-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
6.52 % 2.15 % 19.04 % 7.25 % 13554217.68 EUR 0.7812 EUR 2026-01-19
Notes
DSK Stability 6
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2008-03-07
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 2.75 % 12326910.89 EUR 0.5454 EUR 2026-01-19
Notes
DSK Euro Active
Type: Bond Aggregate FD | Currency: EUR | Date of Public Offering: 2009-05-07
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.2 % 1.47 % 4.36 % 1.74 % 20348385.26 EUR 1.2759 EUR 2026-01-19
Notes
DSK Stability European Equities
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2012-05-02
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 2.94 % 4452040.76 EUR 0.6814 EUR 2026-01-19
Notes
Contractual Fund “DSK Stability - Eurobonds 3”
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2013-03-04
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 0.67 % 21798740.56 EUR 0.6737 EUR 2026-01-19
Notes
DSK Conservative Fund
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2013-03-04
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.319 % 0.8 % 5.38 % 2.68 % 8688028.36 EUR 0.5666 EUR 2026-01-19
Notes
Contractual Fund “DSK Stability – European Equities 3”
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2013-03-04
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 8.13 % 3922540.85 EUR 1.2186 EUR 2026-01-19
Notes
Contractual Fund “DSK Stability – European Equities 2”
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2013-06-03
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 9.13 % 5536265.97 EUR 0.6303 EUR 2026-01-19
Notes
DSK Global Companies
Type: Equity Global | Currency: EUR | Date of Public Offering: 2017-01-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.88 % -1.91 % 19.92 % 12.95 % 4807060.64 EUR 0.8402 EUR 2026-01-19
Notes
www.dskam.bg
DSK Dynamics
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2018-08-15
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.17 % 7.19 % 18.93 % 11.71 % 5327100.6 EUR 0.8566 EUR 2026-01-19
Notes
www.dskam.bg
Contractual Fund “DSK Stability - Eurobonds 4”
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2025-05-27
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 0 % 19247307.13 EUR 0.5132 EUR 2026-01-19
Notes
https://dskam.bg/
Contractual Fund “DSK Stability - Eurobonds 5”
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2025-09-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 0 % 19455749.6 EUR 0.5122 EUR 2026-01-19
Notes
https://dskam.bg/
National Contractual Fund “DSK-OTP Premium Mix”
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2021-06-15
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.67 % 1.79 % 3.58 % 3.88 % 3218572.03 EUR 0.5549 EUR 2026-01-19
Notes
www.dskam.bg
National Contractual Fund “DSK Stability - Eurobonds”
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2021-09-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 0.96 % 17305958.15 EUR 0.5311 EUR 2026-01-19
Notes
www.dskam.bg
National Contractual Fund “DSK Stability – European Equities 5”
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2021-09-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 3.75 % 8145572.51 EUR 0.5481 EUR 2026-01-19
Notes
www.dskam.bg
National Contractual Fund “DSK Stability – European Equities 4”
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2021-09-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 7.85 % 2015564.24 EUR 0.606 EUR 2026-01-19
Notes
www.dskam.bg
National Contractual Fund “DSK Stability - Eurobonds 2”
Type: Capital Protected | Currency: EUR | Date of Public Offering: 2024-09-16
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 0.73 % 14989032.42 EUR 0.5254 EUR 2026-01-19
Notes
https://dskam.bg/

DV ASSET MANAGEMENT EAD


DV Balance
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2005-12-27
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.89 % 0.98 % 8.58 % 4.35 % 588806.96 EUR 6.2128 EUR 2026-01-20
Notes
DV Dynamic Fund
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2005-09-07
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
3.95 % 1.35 % 12.23 % 8.53 % 561209.12 EUR 6.728 EUR 2026-01-20

EF ASSET MANAGEMENT AD


EF Principal ETF
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2005-09-12
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.7 % 1.35 % 8.5 % 5.86 % 37046380.74 EUR 0.6751 EUR 2026-01-20
Notes
EF Rapid
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2005-11-15
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.54 % 2.77 % 7.96 % 3.77 % 25699811.03 EUR 0.8882 EUR 2026-01-20
Notes
NMF EF Potential
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2021-05-20
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.77 % 4.7 % 10.26 % 7.14 % 20978246.3 EUR 0.6234 EUR 2026-01-20
Notes

ELANA FUND MANAGEMENT AD


Elana High Yield Fund
Type: Equity Global | Currency: EUR | Date of Public Offering: 2005-06-20
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
5.7 % 3.65 % 18.61 % 11.46 % 4671319.69 EUR 99.2671 EUR 2026-01-20
Notes
Elana Balanced Euro Fund
Type: Multi-Asset Europe Balanced EUR | Currency: EUR | Date of Public Offering: 2005-12-07
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.2 % 3.39 % 11.4 % 4.33 % 14326005.02 EUR 100.0395 EUR 2026-01-20
Notes
Elana Balanced Dollar Fund
Type: Multi-Asset United States Balanced USD | Currency: USD | Date of Public Offering: 2006-03-06
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.44 % 3.29 % 17.76 % 6.33 % 3851372.08 USD 190.4849 USD 2026-01-20
Notes
Elana Free Money
Type: Bond Aggregate MT EUR | Currency: EUR | Date of Public Offering: 2007-10-31
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.25 % 3.1 % 4.63 % 1.53 % 6211583.75 EUR 89.2925 EUR 2026-01-20
Notes
Elana Eurofund
Type: Multi-Asset Europe Defensive EUR | Currency: EUR | Date of Public Offering: 2009-07-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.93 % 3.93 % 7.26 % 2.33 % 18586718.68 EUR 189.3396 EUR 2026-01-20
Notes
Elana Global Equity Fund
Type: Equity Global Advanced Markets | Currency: EUR | Date of Public Offering: 2010-11-15
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
4.7 % 3.08 % 16.22 % 13.79 % 2657107.1 EUR 158.5089 EUR 2026-01-20
Notes
Elana Bulgaria
Type: Equity Bulgaria | Currency: EUR | Date of Public Offering: 2016-07-03
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.17 % 4.19 % 6.47 % 3.41 % 34117937.96 EUR 75.6533 EUR 2026-01-20
Notes
ELANA Ned Davis Research Dynamic Strategy
Type: Equity Global | Currency: USD | Date of Public Offering: 2021-10-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.19 % 3.04 % 11.49 % 10.36 % 4954792.83 USD 113.783 USD 2026-01-20
Notes
ELANA Real Estate Fund
Type: Equity Real Estate | Currency: EUR | Date of Public Offering: 2024-10-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.85 % -13.91 % -13.12 % 13.77 % 956816.46 EUR 82.2251 EUR 2026-01-20
Notes
Elana Premium BG selection
Type: Multi-Asset Bulgaria Balanced | Currency: EUR | Date of Public Offering: 2025-07-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.39 % 5.82 % n/a 9.08 % 1803707.18 EUR 105.8173 EUR 2026-01-16
Notes
Elana Alternative Deposit
Type: Bond Ultra Short EUR | Currency: EUR | Date of Public Offering: 2025-07-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.12 % 0.69 % n/a 0.76 % 3885609.04 EUR 100.685 EUR 2026-01-20
Notes

EXPAT ASSET MANAGEMENT EAD


Expat Bulgaria SOFIX UCITS ETF
Type: Equity Bulgaria | Currency: EUR | Date of Public Offering: 2016-09-27
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
27.93 % 4.99 % 27.93 % 16.96 % 9998083.28 EUR 0.8043 EUR 2025-12-29
Expat Croatia CROBEX UCITS ETF
Type: Equity Croatia | Currency: EUR | Date of Public Offering: 2018-02-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
16.98 % 3.01 % 16.31 % 16.72 % 113787.96 EUR 1.2643 EUR 2025-12-29
Expat Czech PX UCITS ETF
Type: Equity Czech Republic | Currency: EUR | Date of Public Offering: 2018-01-17
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
56.37 % 11.153 % 55.638 % 28.52 % 395841.56 EUR 2.3285 EUR 2025-12-19
Expat Gold
Type: Commodities | Currency: EUR | Date of Public Offering: 2021-02-02
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
44.828 % 16.602 % 45.515 % 23.6 % 2317932.16 EUR 2.1462 EUR 2025-12-19
Expat Greece ASE UCITS ETF
Type: Equity Greece | Currency: EUR | Date of Public Offering: 2018-01-17
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
43.084 % 7.142 % 44.093 % 26.35 % 156412.95 EUR 1.7379 EUR 2025-12-19
Expat Hungary BUX UCITS ETF
Type: Equity Hungary | Currency: EUR | Date of Public Offering: 2018-02-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
41.361 % 3.008 % 43.922 % 18.82 % 290535.38 EUR 1.2632 EUR 2025-12-19
Expat Macedonia MBI10 UCITS ETF
Type: Equity Macedonia | Currency: EUR | Date of Public Offering: 2018-04-12
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-4.298 % 12.075 % -3.158 % 27.46 % 171938.94 EUR 2.4563 EUR 2025-12-19
Expat Poland WIG20 UCITS ETF
Type: Equity Poland | Currency: EUR | Date of Public Offering: 2018-01-17
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
38.254 % -1.645 % 35.39 % 19.28 % 884493.52 EUR 0.8757 EUR 2025-12-19
Expat Romania BET UCITS ETF
Type: Equity Romania | Currency: EUR | Date of Public Offering: 2018-01-17
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
41.103 % 14.234 % 43.599 % 32.48 % 1101003.12 EUR 2.8974 EUR 2025-12-19
Expat Serbia BELEX15 UCITS ETF
Type: Equity Serbia | Currency: EUR | Date of Public Offering: 2018-04-18
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.509 % -0.933 % 1.066 % 4.22 % 65017.13 EUR 0.9288 EUR 2025-12-19
Expat Slovakia SAX UCITS ETF
Type: Equity Slovakia | Currency: EUR | Date of Public Offering: 2018-02-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-7.55 % -8.919 % -8.012 % 21.57 % 52666.59 EUR 0.4788 EUR 2025-12-19
Expat Slovenia SBI TOP UCITS ETF
Type: Equity Slovenia | Currency: EUR | Date of Public Offering: 2018-02-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
43.307 % 12.94 % 43.433 % 38.44 % 1226656.2 EUR 2.6099 EUR 2025-12-19
Expat Emerging Markets Equities
Type: Equity Emerging Market Global | Currency: EUR | Date of Public Offering: 2008-06-16
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
13.067 % -1.304 % 11.317 % 12.42 % 380471.37 EUR 366.4986 EUR 2025-12-19
Expat Amaranth
Type: Equity Global | Currency: EUR | Date of Public Offering: 2008-06-16
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
15.169 % 0.823 % 15.303 % 9.77 % 2198778.01 EUR 573.7972 EUR 2025-12-19
Expat Global Bonds
Type: Bond Aggregate MT EUR | Currency: EUR | Date of Public Offering: 2009-11-18
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
3.8 % 2.292 % 3.76 % 5.32 % 3943550.56 EUR 850.112 EUR 2025-12-18
Expat Euro Liquidity Mutual Fund
Type: Bond Aggregate ST EUR | Currency: EUR | Date of Public Offering: 2023-04-20
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
3.085 % 2.955 % 3.171 % 2.38 % 2851980.18 EUR 1080.7482 EUR 2025-12-19
Expat Bulgaria Short SOFIX
Type: Equity Bulgaria | Currency: EUR | Date of Public Offering: 2020-01-15
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-26.971 % -15.612 % -27.834 % 34.51 % 48848.79 EUR 0.1809 EUR 2025-12-19
Expat Natural Resources
Type: Equity Energy | Currency: EUR | Date of Public Offering: 2022-09-29
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
44.106 % 12.227 % 45.722 % 11.28 % 5290894.37 EUR 74.1946 EUR 2025-12-19

FFBH ASSET MANAGEMENT AD


FIB- Avangard
Type: Equity Global Advanced Markets | Currency: EUR | Date of Public Offering: 2007-11-19
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.63 % -2.71 % 1.57 % 14.9 % 1876527.76 EUR 0.3101 EUR 2026-01-20
Notes
FIB- Classic
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2007-11-19
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.27 % -0.27 % 2.73 % 8.38 % 2822697.73 EUR 0.4865 EUR 2026-01-20
Notes
FIB- Garant
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2007-11-19
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.7 % 1.37 % 5.44 % 3.84 % 2366621.78 EUR 0.6548 EUR 2026-01-20
Notes
FFBH Vostok
Type: Equity Global Advanced Markets | Currency: EUR | Date of Public Offering: 2010-04-16
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-0.28 % -4.38 % -1.63 % 16.21 % 361720.82 EUR 0.2524 EUR 2026-01-20
Notes

IMPACT CAPITAL EAD


Navigator Plus
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2023-08-02
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 0 % 60853059.18 EUR 0.5671 EUR 2026-01-20
MF PLUS
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2019-09-24
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 0 % 48280617.36 EUR 0.5569 EUR 2026-01-20

INVEST FUND MANAGEMENT AD


Invest Active
Type: N/A | Currency: EUR | Date of Public Offering: 2007-10-02
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.27 % -4.7 % 6.11 % 5.45 % 8680695.78 EUR 0.2118 EUR 2026-01-20
Notes
Invest Classic
Type: N/A | Currency: EUR | Date of Public Offering: 2007-10-02
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.97 % -1.43 % 5.77 % 4.88 % 9387013.29 EUR 0.3925 EUR 2026-01-20
Notes
Invest Next Fund
Type: N/A | Currency: EUR | Date of Public Offering: 2016-01-04
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.59 % -6.1 % 2.14 % 8.31 % 278221.7 EUR 0.2715 EUR 2026-01-20
Notes

KAROLL CAPITAL MANAGEMENT EAD


Advance Invest
Type: Equity Emerging Europe | Currency: EUR | Date of Public Offering: 2004-05-10
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
14.69 % 5.85 % 49.82 % 13.15 % 16518197.32 EUR 1.7769 EUR 2026-01-20
Advance Eastern Europe class A
Type: Equity Emerging Europe | Currency: EUR | Date of Public Offering: 2006-10-04
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
9.16 % 0.85 % 45.25 % 13.07 % 2577578.02 EUR 1.1765 EUR 2026-01-20
Advance Eastern Europe class B
Type: N/A | Currency: EUR | Date of Public Offering: 2006-10-04
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 0 % 0 EUR 0 EUR 2026-01-20
Advance Global Trends
Type: Equity Global | Currency: EUR | Date of Public Offering: 2011-07-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.26 % 3.19 % 4.69 % 15.06 % 1899749.52 EUR 1.5806 EUR 2026-01-20

KBC ASSET MANAGEMENT HB


UBB Platinum Bulgaria
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2006-01-30
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.05 % 2.64 % 8.7 % 4.03 % 216186188.05 EUR 8.6142 EUR 2026-01-20
Notes
UBB ExpertEase Defensive Balanced (leva)
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2021-03-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.26 % 1.52 % 1.29 % 5.32 % 24950226.7 EUR 5.5039 EUR 2026-01-20
Notes
UBB ExpertEase Defensive Tolerant (leva)
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2021-03-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.21 % 1.24 % 0.94 % 5.44 % 12667646.25 EUR 5.4302 EUR 2026-01-20
Notes
UBB ExpertEase Dynamic Balanced (leva)
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2021-03-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.65 % 2.95 % 1.59 % 7.56 % 45328171.29 EUR 5.894 EUR 2026-01-20
Notes
UBB ExpertEase Highly Dynamic Tolerant (leva)
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2021-03-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.94 % 3.77 % 2.56 % 9.8 % 3386341.7 EUR 6.1242 EUR 2026-01-20
Notes
UBB ExpertEase Dynamic Tolerant (leva)
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2021-03-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.63 % 2.95 % 2 % 7.76 % 15371998.21 EUR 5.892 EUR 2026-01-20
Notes
UBB ExpertEase Defensive Balanced (euro)
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2021-03-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.29 % 1.62 % 1.35 % 5.53 % 71462380.31 EUR 10.8185 EUR 2026-01-20
Notes
UBB ExpertEase Defensive Tolerant (euro)
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2021-03-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.25 % 1.33 % 1.02 % 5.61 % 20488146.32 EUR 10.6666 EUR 2026-01-20
Notes
UBB ExpertEase Dynamic Balanced (euro)
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2021-05-19
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.74 % 2.83 % 1.68 % 7.96 % 27739434.75 EUR 11.4597 EUR 2026-01-20
Notes
UBB ExpertEase Highly Dynamic Tolerant (euro)
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2021-03-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.06 % 3.86 % 2.73 % 10.28 % 4312283.51 EUR 12.0296 EUR 2026-01-20
Notes
UBB ExpertEase Dynamic Tolerant (euro)
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2021-03-05
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.68 % 2.88 % 2.04 % 8.13 % 23734800.26 EUR 11.4865 EUR 2026-01-20
Notes
UBB ExpertEase Defensive Conservative Responsible Investing
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2022-06-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.09 % 3.8 % 1.23 % 4.89 % 15511074.9 EUR 5.8491 EUR 2026-01-20
Notes
UBB ExpertEase Defensive Balanced Responsible Investing
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2022-06-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.13 % 3.75 % 1.17 % 5.46 % 21638378.63 EUR 5.8398 EUR 2026-01-20
Notes
UBB ExpertEase Defensive Tolerant Responsible Investing
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2022-06-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.11 % 3.77 % 1.13 % 5.5 % 11223376.41 EUR 5.8436 EUR 2026-01-20
Notes
UBB ExpertEase Dynamic Balanced Responsible Investing
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2022-06-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.5 % 5.21 % 1.1 % 5.5 % 25180036.81 EUR 6.1419 EUR 2026-01-20
Notes
UBB ExpertEase Dynamic Tolerant Responsible Investing
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2022-06-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.43 % 5.48 % 1.62 % 7.97 % 8667448.19 EUR 6.1985 EUR 2026-01-20
Notes
UBB ExpertEase Highly Dynamic Tolerant Responsible Investing
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2022-06-13
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.75 % 6.68 % 1.88 % 10.18 % 10855358.99 EUR 6.4558 EUR 2026-01-20
Notes

REAL FINANCE ASSET MANAGEMENT AD


Quest Vision
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2007-10-26
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.91 % 1.37 % 4.33 % 1.57 % 38087162.99 EUR 0.6549 EUR 2026-01-20
Prime Assets
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2007-10-26
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.89 % 1.11 % 4.51 % 1.99 % 42635522.96 EUR 0.6252 EUR 2026-01-20

SELECT ASSET MANAGEMENT EAD


Select Bonds
Type: Bond Aggregate UD | Currency: EUR | Date of Public Offering: 2006-05-04
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.29 % 3.62 % -0.46 % 3.51 % 965189.23 EUR 103.0692 EUR 2026-01-21
Select Balance
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2004-12-17
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
5.63 % 4.09 % 8.34 % 7.3 % 23076776.82 EUR 11.9146 EUR 2026-01-21
Select Regional
Type: Equity Emerging Europe | Currency: EUR | Date of Public Offering: 2006-05-04
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
14 % 1.43 % 40.64 % 11.38 % 3545740.3 EUR 0.6766 EUR 2026-01-21
Select Dividend
Type: Equity Global Advanced Markets | Currency: EUR | Date of Public Offering: 2012-11-19
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-0.12 % 5.31 % 5.11 % 9.07 % 1940275.38 EUR 1.0116 EUR 2026-01-21

SKY ASSET MANAGEMENT AD


SKY New Shares
Type: Equity Emerging Europe | Currency: EUR | Date of Public Offering: 2006-05-22
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
8.53 % 3.07 % 39.14 % 11.14 % 9459225.39 EUR 0.9264 EUR 2026-01-20
Notes
https://skyfunds.bg/bg/asset_management/funds/new_shares
SKY Finance
Type: Equity Financials | Currency: EUR | Date of Public Offering: 2007-05-02
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
6.44 % -0.67 % 49.32 % 14.5 % 1869779.53 EUR 0.4511 EUR 2026-01-20
Notes
https://skyfunds.bg/bg/asset_management/funds/finance
SKY Global
Type: Equity Global | Currency: EUR | Date of Public Offering: 2010-05-03
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
6.95 % 3.76 % 21.93 % 17.79 % 4501010.76 EUR 178.597 EUR 2026-01-20
Notes
https://skyfunds.bg/fond-skay-global/

SMART FUND ASSET MANAGEMENT


Smart Global Fund
Type: N/A | Currency: EUR | Date of Public Offering: 2018-02-14
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
3.8 % 9.08 % 4.96 % 4.85 % 313904.73 EUR 0.5596 EUR 2025-12-29

STRATEGIA ASSET MANAGEMENT AD


Prestige Fund
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2007-02-19
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.44 % -0.26 % 2.82 % 1.17 % 17447082.25 EUR 4.8711 EUR 2026-01-21
Notes
Profit Fund
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2007-02-12
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
4.02 % 0.56 % 8.05 % 2.69 % 28702756.41 EUR 5.6805 EUR 2026-01-21
Notes
NIF Dynamik
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 2021-07-19
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
n/a n/a n/a 0 % 22839683.08 EUR 6.3444 EUR 2026-01-21
Notes

TEXIM ASSET MANAGEMENT EAD


Texim Conservative Fund
Type: Bond Aggregate High Yield UD | Currency: EUR | Date of Public Offering: 2006-11-20
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
-0.07 % -1.68 % 0.39 % 0.83 % 498929.6 EUR 36.941 EUR 2026-01-20
Notes
Texim Bulgaria
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2006-11-20
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.37 % -1.14 % 5.29 % 1.9 % 25971072.56 EUR 41.019 EUR 2026-01-20
Notes
Texim Balkans
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2007-10-03
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
9.94 % -1.67 % 22.33 % 7.27 % 520421.88 EUR 37.5278 EUR 2026-01-20
Notes
Texim Commodity Strategy
Type: Equity Global | Currency: USD | Date of Public Offering: 2011-06-15
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
6.13 % -0.41 % 19.98 % 10.21 % 528316.96 USD 94.1176 USD 2026-01-20
Notes

TREND ASSET MANAGEMENT AD


NATIONAL INVESTMENT FUND TREND BONDS
Type: Bond Aggregate UD | Currency: EUR | Date of Public Offering: 2024-06-21
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.27 % 18.08 % 5.35 % 3.46 % 9047186.08 EUR 0.6661 EUR 2026-01-20
Trend Balanced Fund
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2008-05-09
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.89 % 0.97 % 10.43 % 4.6 % 5218856.47 EUR 606.3045 EUR 2026-01-20
Notes
http://www.trend-am.com/Fund_balanced.html
Trend Equity Fund
Type: Equity Global | Currency: EUR | Date of Public Offering: 2008-05-09
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
2.29 % 0.61 % 12.72 % 6.68 % 7456560.28 EUR 569.5065 EUR 2026-01-20
Notes
http://www.trend-am.com/Fund_shares.html
Trend Fund Conservative
Type: Multi-Asset Global Defensive | Currency: EUR | Date of Public Offering: 2013-01-07
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
0.5 % -1.88 % 4.13 % 1.84 % 1041199.44 EUR 399.2724 EUR 2026-01-20
Notes
http://www.trend-am.com/Fund_money.html

UG MARKET FUND MANAGEMENT EAD


Ug Market Maximum
Type: Multi-Asset Global Aggressive | Currency: EUR | Date of Public Offering: 2006-09-18
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
7.02 % 3.63 % 12.64 % 3.19 % 29493386.51 EUR 1.0182 EUR 2026-01-20
Notes
Ug Market Optimum
Type: Multi-Asset Global Balanced | Currency: EUR | Date of Public Offering: 2008-06-10
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
5.15 % 5.02 % 26.13 % 9.45 % 933684.76 EUR 1.211 EUR 2026-01-20
Notes

ZLATEN LEV CAPITAL AD


Zlaten lev
Type: Multi-Asset Global Flexible | Currency: EUR | Date of Public Offering: 1999-07-08
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
1.1 % 7.73 % 3.99 % 1.49 % 28713911.68 EUR 3.6905 EUR 2026-01-20
Notes
Zlaten lev Index 30
Type: Equity Bulgaria | Currency: EUR | Date of Public Offering: 2009-06-01
Yield since the beginning of the year Yield from date of public offering Yield for the last 12 months Standard deviation Net asset value Net asset value per share Valid for date
17.49 % 5.59 % 34.53 % 10.67 % 1434411.74 EUR 1.2654 EUR 2026-01-20
Notes
BAAMC
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