Notice

Notice

On March 2nd, 2026, it was concluded that it is necessary to amend NAV and investment unit calculation for UCITS funds Vista Cash and Vista Euro Cash, for the period from February 25th, 2026, until February 26th, 2026, due to the correction of the total number of investment units and NAV calculation.

The depositary bank OTP banka a.d. Novi Sad has also confirmed the updated values.

After Depository bank reconciliation, the following NAV was determined:

UCITS fund Vista Cash

Date of calculation Net Asset Value (NAV) – RSD Net Asset Value Per unit -RSD Total Units Held
25.02.2026. 3.232.179.784,47 11.046,60807 292.594,77333
26.02.2026. 3.027.202.135,04 11.029,59598 274.461,74286

UCITS fund Vista Euro Cash

Date of calculation Net Asset Value (NAV) – RSD Net Asset Value (NAV) – EUR Net Asset Value Per unit – RSD Net Asset Value Per unit – EUR Total Units Held
25.02.2026. 2.516.198.092,73 21.429.041,84 13.240,91289 112,7654 190.032,07052
26.02.2026. 2.514.498.883,21 21.416.431,02 13.230,39251 112,68559 190.054,74556

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