Mutual Funds

7 September 2026 Currency Buy Change Sell Change
   

Redemption
Price

 

Issue
Price

 

Balanced Fund

EUR 6.3705 -0.04 6.4025 -0.04

Perspective Fund

EUR 5.4141 -0.04 5.4550 -0.04
No orders will be executed at the announced issue price and redemption price. Prices are valid for orders placed on 01.09.2026, 02.09.2026 and 03.09.2026

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]