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NameBest
buy
Best
sell
Change
(%)
COLTCZ1,028.001,032.000.00sentiment_arrow
CSG354.20356.00-2.76sentiment_arrow
ČEZ1,262.001,263.00-0.47sentiment_arrow
Doosan477.00479.501.06sentiment_arrow
E4U324.00334.00-1.23sentiment_arrow
ERSTE2,488.002,497.001.38sentiment_arrow
Gevorkyan199.00200.000.50sentiment_arrow
KARO148.00149.00-1.34sentiment_arrow
KB999.001,000.000.81sentiment_arrow
Kofola522.00524.000.19sentiment_arrow
MONETA194.00194.200.83sentiment_arrow
Photon6.927.280.00sentiment_arrow
Pilulka123.00125.00-0.81sentiment_arrow
PM18,500.0018,520.00-0.86sentiment_arrow
Primoco794.00798.00-0.25sentiment_arrow
TMR362.00392.000.00sentiment_arrow
VIG1,435.001,441.000.42sentiment_arrow
09/06/2026 10:50:00
Patria Direct
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Treasury online
NameBest
buy
Best
sell
Change
(%)
 
Gold4,325.9804,331.980-0.02sentiment_arrow
Silver68.34068.6400.44sentiment_arrow
Palladium1,199.5001,261.1501.73sentiment_arrow
Platinum1,750.5001,775.5000.26sentiment_arrow
Brent Crude 94.11094.1101.43sentiment_arrow
R 09/06/2026 11:05:27
Further  Commodities

  • 09/12/2013
3 B Wertsicherungsfonds I
Price Yield 1W (%) Yield 1M (%) Yield 3M (%)
113.03 -1.49 -0.12 -0.47

Parameters
Basic information Price information
ISIN AT0000633177 Date 09/12/2013
Issuer - Curr. -
IPO date - Total net fund assets (mil.) 9,520,000.00
Index - NAV 113.03
Management fee - 1 week yield -1.49 %
Fund type Mixed 1 month yield -0.12 %
Origin - 3 months yield -0.47 %
Min. investment - 6 months yield -2.61 %
Prvotní/následná investice - 1 year yield -2.57 %
3 years yield -1.34 %
Yield since inception -
Investment policy:
Online chart
Source: Patria Direct, AKAT CR