Managed funds
27 Dec 2024
26 Jun 2025
Сompany's News
28 Oct 2024
Сompany's News
13 Sep 2023
Сompany's News
29 572 762 uah.
PIC and NAV on 7 November 2025 **
*PIC - Price Invest certificates, stocks, pension unit.
*NAV - Net Asset Value
**PIC and the NAV calculated at the end of the previous working day