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NameBest
buy
Best
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Change
(%)
Axa40.1040.121.03sentiment_arrow
Barclays4.604.600.82sentiment_arrow
BMW69.6669.70-0.09sentiment_arrow
BNP Paribas94.5494.561.49sentiment_arrow
BP5.375.37-1.52sentiment_arrow
Commerzbank36.8236.851.56sentiment_arrow
CSG14.6014.660.25sentiment_arrow
DB27.9527.962.36sentiment_arrow
E.ON18.1318.14-0.19sentiment_arrow
ERSTE AT 103.20103.302.18sentiment_arrow
HSBC13.6313.63-0.60sentiment_arrow
ING Group25.7225.731.28sentiment_arrow
KBC113.35113.451.20sentiment_arrow
Lloyds1.001.001.28sentiment_arrow
M&S3.653.651.76sentiment_arrow
Daimler48.4248.430.11sentiment_arrow
Orange17.7717.78-0.14sentiment_arrow
Siemens269.30269.400.49sentiment_arrow
SG71.3971.412.29sentiment_arrow
Total76.8076.81-0.69sentiment_arrow
Volkswagen89.1089.20-0.39sentiment_arrow
09/06/2026 10:44:54
Patria Direct
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Curr.Best
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Change
(%)
CZK/EUR24.167924.2001-0.08sentiment_arrow
CZK/USD20.927020.9500-0.20sentiment_arrow
USD/EUR1.15501.15500.11sentiment_arrow
JPY/USD160.1950160.19900.03sentiment_arrow
USD/GBP1.33791.33800.28sentiment_arrow
HUF/EUR354.8447355.3887-0.23sentiment_arrow
PLN/EUR4.23194.2415-0.14sentiment_arrow
Zpožděná data
09/06/2026 10:54:48


  • 29/03/2013
HOR.CSOB PRI.BANK.WORLD LOOKBACK 1
Price Yield 1W (%) Yield 1M (%) Yield 3M (%)
9.53 -0.42 -0.42 0.32

Parameters
Basic information Price information
ISIN BE0947382801 Date 29/03/2013
Issuer KBC Curr. -
IPO date - Total net fund assets (mil.) 165,456,963.45
Index - NAV 9.53
Management fee - 1 week yield -0.42 %
Fund type Mixed 1 month yield -0.42 %
Origin - 3 months yield 0.32 %
Min. investment - 6 months yield 0.74 %
Prvotní/následná investice - 1 year yield 1.49 %
3 years yield 1.28 %
Yield since inception -
Investment policy:
Online chart
Source: Patria Direct, AKAT CR