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Promsvyaz - Bonds (AMC Promsvyaz, Ltd.)

Period

Performance and NAV dynamics, USD



17.09.2019against prev date1 month3 month6 month9 month1 year3 year5 year
Share54.90 USD1.08%4.89%4.51%9.54%14.09%19.33%31.02%-16.63%
NAV11 579 373.71 USD1.21%7.07%7.30%2.71%8.94%32.68%537.29%4 070.25%

Share, USD

NAV, USD

Share and NAV, USD

DateShareNav
17.09.201954.9011 579 373.71
16.09.201954.3211 441 343.30
13.09.201953.6611 315 749.93
12.09.201953.4211 345 609.42
11.09.201953.3811 331 077.88
10.09.201953.2911 342 223.50
09.09.201952.8611 205 315.19
06.09.201952.7411 151 943.42
05.09.201952.3611 061 414.79
04.09.201951.9710 942 739.82
03.09.201952.1310 917 723.21
02.09.201952.2210 944 260.22
30.08.201951.9210 830 085.99
29.08.201952.1710 859 036.97
28.08.201952.2010 845 932.17
27.08.201952.4010 837 991.80
26.08.201952.6610 851 913.06
23.08.201952.6810 876 931.70
22.08.201952.1310 773 253.82
21.08.201951.7010 684 218.73
20.08.201951.8110 719 133.12
19.08.201952.2310 796 400.81
16.08.201952.3410 814 998.87
15.08.201952.8110 903 480.37
14.08.201952.5310 844 226.80
13.08.201952.6510 885 472.14
12.08.201952.7510 871 387.80
09.08.201952.8710 877 131.46
08.08.201952.8610 829 296.76
07.08.201952.8110 828 722.78
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