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COLTCZ1,030.001,032.00-0.19sentiment_arrow
CSG347.20347.60-4.92sentiment_arrow
ČEZ1,269.001,270.000.00sentiment_arrow
Doosan478.00480.001.27sentiment_arrow
E4U322.00334.00-1.23sentiment_arrow
ERSTE2,475.002,486.000.77sentiment_arrow
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KARO146.50149.00-1.34sentiment_arrow
KB994.00996.000.40sentiment_arrow
Kofola524.00525.000.38sentiment_arrow
MONETA193.90194.000.83sentiment_arrow
Photon7.007.24-0.27sentiment_arrow
Pilulka124.00125.000.81sentiment_arrow
PM18,500.0018,520.00-0.86sentiment_arrow
Primoco802.00808.000.00sentiment_arrow
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09/06/2026 09:34:00
Patria Direct
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NameBest
buy
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sell
Change
(%)
 
Gold4,326.5304,332.530-0.01sentiment_arrow
Silver68.24068.5400.29sentiment_arrow
Palladium1,199.9001,261.5501.75sentiment_arrow
Platinum1,750.5001,775.5000.26sentiment_arrow
Brent Crude 94.11094.1101.43sentiment_arrow
R 09/06/2026 09:45:57
Further  Commodities

  • 16/07/2012
ESPA CASH EMERGING MARKETS VT
Price Yield 6M (%) Yield 1Y (%) Yield 3Y (%)
123.47 - -5.51 -

Parameters
Basic information Price information
ISIN AT0000500947 Date 16/07/2012
Issuer - Curr. -
IPO date - Total net fund assets (mil.) 65,728,438.34
Index - NAV 123.47
Management fee - 1 week yield -
Fund type Mixed 1 month yield -
Origin - 3 months yield -
Min. investment - 6 months yield -
Prvotní/následná investice - 1 year yield -5.51 %
3 years yield -
Yield since inception -
Investment policy:
Online chart
Source: Patria Direct, AKAT CR