FUND LIST
(click on fund for detail, sort list by clicking on the column heading)
Funds Fund group Fund type Risk Inv. horiz. Date Cur. NAV NAVpS
IKS Peněžní trh PLUS IKS Money market 2 1,50 7.9.2010 CZK 6 325 612 806 1,5407
IKS Dluhopisový PLUS IKS Bonds 3 2,50 7.9.2010 CZK 2 032 040 066 1,3930
IKS Balancovaný - konzervativní IKS Mixed 3 3,00 7.9.2010 CZK 2 821 548 202 1,4369
IKS Balancovaný - dynamický IKS Mixed 4 5,00 7.9.2010 CZK 3 931 738 706 2,4097
IKS Akciový PLUS IKS Stock 5 5,00 7.9.2010 CZK 550 949 449 0,3746
 
IKS KB, a company of Amundi Group

www.amundi.com
NOTE: The information stated on these web pages is of an indicative nature and does not serve as an instruction to invest and it does not represent any investment recommendation for a purchase and/or sale of any securities and/or other financial instruments. All data herein shall only be informative and not binding, and they may be updated without any prior warning. The information stated herein has been acquired from the sources, which IKS KB, a. s. considers reliable, however, IKS KB, a.s. shall not be responsible for the completeness, reliability, topicality, and/or accuracy of any all information stated herein and it shall not be responsible for any potential damage/loss, which might be incurred in connection with the information. Prior to any investments, you should verify the information stated herein or contact our employees. Investments in financial instruments are always associated with fluctuations of their price; the return of the resources invested is thus not guaranteed in any way.