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Managed funds

Non-State Pension Fund «Laurus»

Risk

Low

Fund Ratings on 22.12.2024

Unit price of pension assets, uah. 4.90484
Change the price per day,% 0.0 %
Changes in prices since the beginning of the month,% 0.0 %
Changes in prices since the beginning of the year,% 0.0 %
Changes in prices since the beginning of the placement,% 394.2 %
Number of units 3,894,890.706
NAV, UAH. 19,103,816

Dynamics of prices

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Note: The value of the investment certificates of the Fund may increase or decrease. The dynamics of changes in the value of investment certificates of an investment fund in the past does not determine the dynamics of changes in the value of investment certificates of an investment fund in the future. The company does not guarantee return on investment in unit and corporate investment funds. The state does not guarantee return on investment in unit and corporate investment funds. Before you purchase investment certificates, you should carefully review the rules of the investment fund

Description Fund

"Lauras Non-Governmental Retirement Fund" (Fund) was established in 2007.

The founder of the Fund is the Limited Liability Company "AMC Ozon".


Administrator of the Fund
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Asset Management Company
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Bank - Custodian
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General Information about a Financial Institution
Full Name Lauras Non-Governmental Retirement Fund
Identification code of the financial institution under the EDRPOU 35234147
Location (area code for COATUU, zip code, region, district, town, District of the settlement (if any), street, house number, building number (if any), office number (apartment) (if available)) 8036100000, 03150, Kyiv, Goloseevsky district, st. Gorky, 64/16  street Fedorov Ivan, 64/16
List of financial services provided by the financial institution Non-state pension provision
Composition for the Council of the Laurus VLPF Isupov Dmitry Yuryevich, Chairman of the Board Zolotukhin Andrey Valerievich, Secretary of the Council Chernenko Sergey Nikolaevich, board member of the Board Kutsenko Irina Aleksandrovna, Board Member  Necheporenko Natalia Victorivna, Member of the Board

Portrait Laurus

Portrait - «Laurus» mutual fund

Risk Low
Riks Low
Investment Strategy Balanced diversified
The term of the fund Is not limited
The nominal value of the certificate 1
Structure of the Fund Up to 50% of the deposit up to 50% government bonds, 20% municipal bonds, and 40% Ukrainian stocks
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Reporting Laurus

Current Patent otchet fund activities at Laurus Manuscript by 2024

Dynamics Index UX the Fund
Month 0.0% 0.0%
With the beginning of the year -29.2% 0.0%
Since the beginning of operations -57.6% 394.2%
Risk Indicators (with 03.01.2008) Index UX the Fund
The annual standard deviation 46.96% 19.45%
Beta 0.03
correlation coefficient 8.14%

Portfolio by Asset Classes

Portfolio of shares by industry

Brief overview of events

All statements

31 october 2024 y.

30 september 2024 y.

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Buy-sell certificates Laurus

Bank details for the payment of pension contributions

To: ONPF "Laurus»

USREOU code: 35234147

IBAN: UA733808050000000000265051913

P №265051913 with JSC "Raiffeisen Bank Aval»

Purpose of payment:

«Pension contribution on IPR 35234147- № (tax number client)

acc. PC № 01/0000 ___ from "__" ___________ 20__. »

Fonds in Management

Fonds in Management

Argentum

PIC*

7.41 uah.

+0 %

NAV*

164 239 uah.

+0 %

Platinum

PIC*

428.15 uah.

+0 %

NAV*

9 301 599 uah.

-799.31 %

Aurum

PIC*

8.94 uah.

+0 %

NAV*

202 072 uah.

+0 %

Laurus

PIC*

4.90484 uah.

+0.04 %

NAV*

19 103 816 uah.

+0.04 %

Value of indices

PFTS index

500.31

+0.12 %

UX іndex

1 194.15

+0 %

General SCHA stock

28 771 725 uah.

PIC and NAV on 20 December 2024 **

*PIC - Price Invest certificates, stocks, pension unit.

*NAV - Net Asset Value

**PIC and the NAV calculated at the end of the previous working day

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