Stocks online
NameClose at
08/06/2026
Change
(%)
COLTCZ1,032.000.39sentiment_arrow
CSG365.60-1.67sentiment_arrow
ČEZ1,269.000.87sentiment_arrow
Doosan472.001.29sentiment_arrow
E4U326.001.88sentiment_arrow
ERSTE2,463.00-0.57sentiment_arrow
Gevorkyan199.00-0.25sentiment_arrow
KARO149.00-0.67sentiment_arrow
KB992.00-0.50sentiment_arrow
Kofola523.000.00sentiment_arrow
MONETA192.400.73sentiment_arrow
Photon7.284.00sentiment_arrow
Pilulka124.000.00sentiment_arrow
PM18,680.000.32sentiment_arrow
Primoco800.00-1.96sentiment_arrow
TMR372.00-2.11sentiment_arrow
VIG1,435.00-1.58sentiment_arrow
09/06/2026 08:00:02
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/EUR24.172924.2051-0.06sentiment_arrow
CZK/USD20.941020.9640-0.13sentiment_arrow
USD/EUR1.15451.15460.08sentiment_arrow
JPY/USD160.1440160.15000.00sentiment_arrow
USD/GBP1.33631.33640.16sentiment_arrow
HUF/EUR354.9232355.4670-0.21sentiment_arrow
PLN/EUR4.23114.2408-0.16sentiment_arrow
Zpožděná data
09/06/2026 08:46:00


  • 21/03/2022
Archipel Portfolio Pro February 95
Price (EUR) Yield 1M (%) Yield 3M (%) Yield 6M (%)
10.71 -1.37 -5.54 -4.77

Parameters
Basic information Price information
ISIN IE00B4B0Q867 Date 21/03/2022
Issuer KBC Curr. EUR
IPO date 09/03/2011 Total net fund assets (mil.) -
Index - NAV 10.71 EUR
Management fee 0,5 % ročně z aktiv fondu ze skupiny ČSOB/KBC, z ostatních aktiv 1,5% 1 week yield -
Fund type Mixed 1 month yield -1.37 %
Origin Ireland 3 months yield -5.54 %
Min. investment - 6 months yield -4.77 %
Prvotní/následná investice 5000 / 500 1 year yield -2.76 %
3 years yield -5.43 %
Yield since inception -
Investment policy: Jedná se o nezajištěný fond fondů s aktivní správou, který upravuje svou investiční strategii podle aktuální situace na trhu, situace na trzích je sledována na denní bázi, investiční strategie: cílem fondu je, aby cena fondu nepoklesla během jednoho roku pod 95 % ceny fondu dosažené ke konci ledna daného roku, fond těží z růstu akciových a dluhopisových trhů.
Online chart
Source: Patria Direct, AKAT CR