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Comunicate de presa

Fondurile AOPC inchise vandute in Romania in luna Decembrie 2013

Denumire fond (AOPC) Societatea de administrare Active nete (mil.lei) Subscrieri nete/luna (mil.lei) Randament ultimile 12 luni
FONDURI DE ACTIUNI
BT Invest BT Asset Management 5.3 1.3 17.85
BT Invest 1 BT Asset Management 69.8 0 17.45
Fondul de Actiuni Privat Transilvania Globinvest 5.6 0 6.39
EuroGlobinvest Globinvest 4 -0.03 16.35
iFond Gold Intercapital Asset Management 0.8 0 -59.16
iFond Financial Intercapital Asset Management 10.0 0 34.63
F.O.A. SAFI Invest 17.3 0 17.44
STK Emergent STK Financial 70.4 0 11.34
ALTE FONDURI
Certinvest Everest Certinvest 0.3 0 6.19
Certinvest Leader Certinvest 43.0 2.1 10.95
Certinvest Properties Ro Certinvest 8.5 0 12.15
Certinvest Absolute Return Certinvest 0.03 0 -7.10
Certinvest ARTA Romania* (euro) Certinvest 11.5 0.04 8.67
Certinvest Green Certinvest 7.8 0 29.91
Fondul Privat Comercial Globinvest 18.2 -0.6 9.12
Global Investing Fund* (euro) Vanguard Asset Management 1.8 0 n.a.
Omnitrend SIRA 1.1 0.08 n.a.
Omnihedge SIRA 0.6 0.1 n.a.
OTP Properties OTP Asset Management 2.0 n.a n.a.
OTP Agri Fund OTP Asset Management 2.0 n.a n.a.
DCP Investitii Atlas Asset Management 4.6 0.0 24.6
Hermes RON Atlas Asset Management 2.3 0 76.88
Matador RON Atlas Asset Management 7.7 0 33.33
Herald* (euro) Atlas Asset Management 11.8 2.2 28.72
Raiffeisen strategii valutare Raiffeisen Asset management 25.1 -20.3 7.1
Raiffeisen USD* Raiffeisen Asset management 231.8 3.4 3.13

* Fonduri denominate, active si subscrieri prezentate in mil.lei, randament in moneda fondului;