Managed funds
27 Dec 2024
26 Jun 2025
Сompany's News
28 Oct 2024
Сompany's News
13 Sep 2023
Сompany's News
37 134 734 uah.
PIC and NAV on 21 April 2026 **
*PIC - Price Invest certificates, stocks, pension unit.
*NAV - Net Asset Value
**PIC and the NAV calculated at the end of the previous working day