Home
БГ
|
EN
About Us
Balanced Fund
Perspective Fund
Fiduciary Management
Bulgarian Indexes
SOFIX
684.71
7.26
BGBX 40
133.00
1.00
BGREIT
116.48
0.38
BGTR 30
560.27
4.29
World Indexes
DJIA
24,824.01
104.80
NASDAQ
7,006.90
103.50
FTSE 100
7,648.10
-39.70
S&P 500
2,695.81
22.20
NIKKEI 225
22,764.94
-19.00
DAX
12,871.39
-46.30
CAC 40
5,288.60
-24.00
SWISS MARKET
9,381.87
-23.90
Mutual Funds
12 January 2026
Currency
Buy
Change
Sell
Change
Redemption
Price
Issue
Price
Balanced Fund
EUR
6.4251
0.00
6.4574
0.00
BGN
12.5664
0.00
12.6296
0.00
Perspective Fund
EUR
5.5021
-0.01
5.5437
-0.01
BGN
10.7612
-0.01
10.8425
-0.01
No orders will be executed at the announced issue price and redemption price.
Prices are valid for orders placed on 06.01.2026, 07.01.2026 and 08.01.2026
Prices are calculated at the exchange rate 1 EUR = 1.95583 BGN
Archive
News
12/18/2025
&nbps;
12/18/2025
&nbps;
Archive
Municipal Bank PLC
Investment Intermediary
Asset Management
contact
1000 Sofia, 6 Vrabcha Str.
Tel.: + 359 2 935 65 22
Fax: + 359 2 935 66 15
E-mail:
[email protected]