Date | Value of the investment unit (EUR) | Value of the investment unit (RSD) | Value of the fund's assets (EUR) | Value of the fund's assets (RSD) |
---|---|---|---|---|
05/09/2025 | 100,00 | 11.716,70 | 415.404,25 | 48.671.670,00 |
06/09/2025 | 100,01 | 11.717,87 | 415.445,83 | 48.676.541,51 |
07/09/2025 | 100,02 | 11.719,05 | 415.487,41 | 48.681.412,95 |
08/09/2025 | 100,03 | 11.720,22 | 415.520,33 | 48.686.309,31 |
09/09/2025 | 100,05 | 11.721,36 | 415.613,48 | 48.691.031,58 |
10/09/2025 | 100,05 | 11.722,56 | 415.622,52 | 48.695.996,81 |
11/09/2025 | 100,07 | 11.723,72 | 415.677,94 | 48.700.827,93 |