Stocks online
NameBest
buy
Best
sell
Change
(%)
COLTCZ1,012.001,014.00-1.55sentiment_arrow
CSG346.80349.70-2.91sentiment_arrow
ČEZ1,255.001,259.00-1.10sentiment_arrow
Doosan488.50489.00-2.10sentiment_arrow
E4U334.00336.000.00sentiment_arrow
ERSTE2,467.002,474.00-0.93sentiment_arrow
Gevorkyan198.50199.00-0.25sentiment_arrow
KARO147.00148.00-1.34sentiment_arrow
KB984.50985.50-0.96sentiment_arrow
Kofola522.00524.000.38sentiment_arrow
MONETA193.00193.10-1.53sentiment_arrow
Photon7.107.280.00sentiment_arrow
Pilulka123.00127.00-0.40sentiment_arrow
PM18,600.0018,700.00-0.74sentiment_arrow
Primoco798.00800.000.00sentiment_arrow
TMR358.00388.000.00sentiment_arrow
VIG1,477.001,485.000.07sentiment_arrow
10/06/2026 11:57:00

Patria Direct

Patria DirectThings our clients appreciate most: A large and experienced team of professional brokers, customer care support, stable and secure trading platform, unique news and information service. Try our demo account and see for yourself.

Free services: Patria Plus news services, analytical reports, account opening and keeping, submitting and cancelling orders, FX conversions. Moreover, for active traders we also offer free real-time data and Investor Plus services.
Treasury online
Curr.Best
buy
Best
sell
Change
(%)
CZK/EUR24.162024.19420.07sentiment_arrow
CZK/USD20.905020.9280-0.11sentiment_arrow
USD/EUR1.15591.15590.19sentiment_arrow
JPY/USD160.4440160.45000.04sentiment_arrow
USD/GBP1.33961.34000.21sentiment_arrow
HUF/EUR355.3514355.8960-0.13sentiment_arrow
PLN/EUR4.24234.25190.10sentiment_arrow
Zpožděná data
10/06/2026 12:02:48


  • 08/06/2026
ČSOB bohatství
Price (CZK) Yield 1M (%) Yield 3M (%) Yield 6M (%)
3.12 0.21 3.50 2.20

Parameters
Basic information Price information
ISIN 770000002244 Date 08/06/2026
Issuer ČSOB Curr. CZK
IPO date 15/10/2000 Total net fund assets (mil.) -
Index - NAV 3.12 CZK
Management fee 1.5 % ročně 1 week yield -
Fund type Mixed 1 month yield 0.21 %
Origin Czech Republic 3 months yield 3.50 %
Min. investment - 6 months yield 2.20 %
Prvotní/následná investice 5000 / 500 1 year yield 5.80 %
3 years yield 23.12 %
Yield since inception -
Investment policy: Cílem investiční strategie je vhodným výběrem investic a jejich strukturou dosahovat trvalého růstu hodnoty majetku a dosáhnout lepšího vývoje hodnoty majetku ve Fondu než ve vývoji indexů na jednotlivých trzích, na kterých je majetek ve Fondu investován. Fond je svým investičním zaměřením smíšeným fondem.
Online chart
Source: Patria Direct, AKAT CR