Mutual Funds

14 August 2026 Currency Buy Change Sell Change
   

Redemption
Price

 

Issue
Price

 

Balanced Fund

EUR 6.3764 0.02 6.4084 0.02

Perspective Fund

EUR 5.4228 0.01 5.4638 0.01
No orders will be executed at the announced issue price and redemption price. Prices are valid for orders placed on 11.08.2026, 12.08.2026 and 13.08.2026

News

12/18/2025
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12/18/2025
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contact

1000 Sofia, 6 Vrabcha Str.

Tel.: + 359 2 935 65 22
Fax: + 359 2 935 66 15
E-mail: [email protected]